Part 2 of the FRM exams will challenge you on 80 multiple choice questions and is offered at two available dates – in November and in April. Risk Management in Investment Management (15%)Ĭurrent Issues in Financial Markets (10%).Liquidity and Treasury Risk Management and Measurement (15%).Operational and Integrated Risk Management (20%).Credit Risk Measurement and Management (20%).Market Risk Measurement and Management (20%).The FRM part II exam is broken down into five different general themes, and are all assigned different percentages that factor into your overall grade:
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