Each FRM preparation package comes with an FRM part 1 question bank that contains over 1,800 practice questions tailored to teach you all of the rudimentary aspects of financial risk management.
Each FRM preparation package comes with an FRM part 1 question bank that contains over 1,800 practice questions tailored to teach you all of the rudimentary aspects of financial risk management.
To succeed, you will need to solve numerous quantitative practice questions on subjects such as the Hypothesis Testing and the Black-Scholes-Merton model to ensure you can do the necessary calculation during exam time.
You can also create an unlimited number of quizzes to test your understanding of one or more books at the same time.
Moreover, FRM part 1 mock exams that replicate the level of difficulty of the actual exam are included in each FRM package. These mock exams will give you the ability to test yourself using the same weights as given by GARP.
To ensure you are prepared for every concept, read AnalystPrep’s FRM part 1 books summaries. These study notes will speed up the learning process so you can focus on the important aspect of your preparation – practice questions.
AnalystPrep is a revolutionary, ultra-modern learning platform that came into being in 2014. Our mission is to spread financial knowledge through a combination of innovative learning technology and futuristic study tools. We believe that through knowledge and discipline, success is within reach for all of us.
At the core of our foundation is a group of professionals with decades of experience in the financial industry. Our instructors understand what it takes to prepare for exams and how to pass them.
It was no surprise that our first product, a question bank for the Level I of the CFA® exam, hit it off with candidates instantly. In order to facilitate our goal of allowing more candidates to benefit from the top-of-the-range study tools on offer, we have since added all three Levels of the CFA® exam and the two levels of the FRM® program to our portfolio.
If you want a complete structure that accompanies you through your preparation, our FRM® course at Morgan allows you to enjoy a unique learning experience, mixing dynamic teaching, practice and personalized coaching
Consistent with recent developments in the state of the art for financial risk management, the courses in this specialization will ground students in the foundational aspects related to finance theory, risk measurement and options theory and practice.
The FRM is the true standard for educational excellence in risk management and a gateway to achieving new career heights in the risk profession.
Learn the fundamentals of financial risk management and the tools available for managing risks in this 5 hour course.
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