Financial Risk Manager (FRM) The exam splits across two parts Part I covers financial markets, quantitative methods, and valuation models; Part II dives into market risk, credit risk, operational risk, and liquidity risk management. You’ll need working familiarity with VaR calculations, stress testing, and counterparty exposure frameworks that shape real trading floors and risk committees daily.
| Exam Name | Financial Risk Manager |
| Exam Code | FRM |
| Format | PDF & Practice Test Engine |
| Target Year | 2026 Updated |
| Features | 100% Verified Q&As |

