Financial Risk Manager (FRM) The FRM Part I assesses grasp of market, credit, and operational risk frameworks that directly shape daily decisions in trading desks, risk committees, and compliance functions. You’ll encounter scenarios requiring calculation of Value at Risk metrics, stress-testing protocols, and counterparty exposure—skills applied immediately in roles managing institutional portfolios and regulatory capital requirements.
| Exam Name | Financial Risk Manager |
| Exam Code | FRM |
| Format | PDF & Practice Test Engine |
| Target Year | 2026 Updated |
| Features | 100% Verified Q&As |


