The FRM Exam Part II course builds on the foundational knowledge acquired in Part I, focusing on the application of these tools to real-world scenarios. This course covers six critical areas, preparing you thoroughly for the 80-question multiple-choice exam.
Key Topics Covered:
Market Risk: Managing and mitigating market risks.
Credit Risk: Evaluating and managing credit risks.
Operational Risk and Resiliency: Handling operational risks and enhancing resiliency.
Treasury and Liquidity Risk Management: Managing treasury functions and liquidity risk.
Risk and Investment Management: Integrating risk management into investment strategies.
Current Issues: Addressing contemporary challenges in financial markets.
Exam Details:
Format: 80-question multiple-choice exam
Offered: Annually in May, August, and November