考试内容


LEVEL Ⅰ(共100题)
1.Foundations of Risk Management风险管理基础(20%)
2.Quantitative Analysis数量分析(20% )
3.Financial Markets and Products 金融市场与金融产品( 30% )
4.Valuation and Risk Models估值与风险建模(30%)
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LEVEL Ⅱ(共80题)
1.Market Risk Measurement and Management市场风险管理与测量(25%)
2.Credit Risk Measurement and Management信用风险管理与测量(25%)
3.Operational and Integrated Risk Management操作及综合风险管理(25%)
4.Risk Management and Investment Management投资风险管理(15%)
5.Current Issues in Financial Markets金融市场前沿话题( 10%)
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