![]() Market Risk Measurement and Management: This subject covers advanced techniques for measuring and managing market risk, including models for interest rate risk, equity risk, and foreign exchange risk.The FRM Part 2 Exam Covers 6 Main Topics: Valuation and Risk Models: This section covers the valuation of financial instruments and the application of various risk models, such as credit risk models, operational risk models, and stress testing.This section delves into diverse financial instruments, including bonds, equities, options, and swaps, and their corresponding risks. Quantitative Analysis: This section focuses on the mathematical and statistical tools used in risk management. ![]() Foundations of Risk Management: This section introduces the principles of risk management, governance, and risk measurement.The exam consists of 80 multiple-choice questions, and candidates are given 4 hours to complete the test. FRM Part 2 – Questions in Part 2 are more advanced and focused on the practical application of risk management concepts.This part covers key risk management concepts and their real world applications. Candidates are given 4 hours to complete the exam. FRM Part 1 -`The FRM Part 1 exam is a multiple-choice test that consists of 100 questions.Frequently Asked Question Understanding the FRM Exam Exam format
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