Master the FRM® Exam
Your comprehensive, AI-powered study partner for the Financial Risk Manager certification.
FRM® Exam Part I
Foundations of Risk Management | 20%
Quantitative Analysis | 20%
Financial Markets and Products | 30%
Valuation and Risk Models | 30%
FRM® Exam Part II
Market Risk Measurement and Management | 20%
Credit Risk Measurement and Management | 20%
Operational Risk and Resilience | 20%
Liquidity and Treasury Risk Measurement and Management | 15%
Risk Management and Investment Management | 15%
Current Issues in Financial Markets | 10%