This program in Market Risk management is designed to teach the identification, measurement, monitoring, and control of market risk exposure. The curriculum is taught regarding various factors like different institution’s sizes, risk profiles, and complexity. Students will be taught a wide spectrum of topics related to risk management, such as its importance, objectives, risk governance, risk budgeting, risk identification and evaluation, and more. On the completion of this specialization from GTIM, students will be able to become risk managers practitioners at both, small institution levels and larger institution levels. GTIM ensures to provide sufficient practical training placing students in multiple scenarios to create a level of expertise amongst students.