
GARP Research
GARP Research refers to the analysis conducted within the Global Association of Risk Professionals (GARP), which focuses on identifying, assessing, and managing risks in financial markets and institutions. It involves studying market behaviors, economic factors, and regulatory impacts to help organizations understand potential vulnerabilities and make informed decisions. The goal is to improve risk management frameworks, enhance financial stability, and ensure organizations are prepared for unpredictable events. GARP's research supports professionals in developing more effective strategies for mitigating risks related to investments, credit, and market fluctuations.