FRM – Financial Risk Manager Recognized in every major market, the FRM is the leading certification for risk managers. It is consistently in demand by nearly every major bank and firm in the world and is awarded only to professionals who demonstrate the knowledge and ability to anticipate, respond, and adapt to critical risk issues.

 

Exam Overview

Level Requirements Pass Higher Secondary
Question Format Multiple choice questions
Exam Results Availability 40-50 Days
Duration 4 Hours
Months May, August, November

 

Subject Weightage

Subject Part 2
Market Risk Measurement and Management 20%
Credit Risk Measurement and Management 20%
Operational and Integrated Risk Management 20%
Liquidity and Treasury Risk Measurement and Management 15%
Risk Management and Investment Management 15%
Current Issues in Financial Markets 10%

 

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