Financial Risk Manager (FRM) The FRM Part I covers probability, financial markets fundamentals, and valuation models. Part II dives into market risk measurement, credit risk frameworks, operational risk assessment, and liquidity riskβeach domain tested through scenarios reflecting real portfolio challenges and regulatory requirements across institutions.
| Exam Name | Financial Risk Manager |
| Exam Code | FRM |
| Format | PDF & Practice Test Engine |
| Target Year | 2026 Updated |
| Features | 100% Verified Q&As |


