The core activity of International Financial Risk Institute (IFRI) is to promote:
* Training and education
* Theoretical and applied research
* Information and general services at an international level
in the areas of:
* International financial markets (in particular capital, Eurex and money markets)
* Derivative financial instruments (options and futures)
* Commodity markets and all areas directly or indirectly related to them
With the goal of:
* Promoting discussions and research on the underlying principles of financial risk management
* Fostering improved risk management practices through the exchange of ideas and experiences among risk management professionals
* Promoting improved communication and understanding of financial risk management principles and practices for all interested parties.