FRM Certification Prep

$497.00

FRM Certification Prep · Financial Risk Manager (GARP)

Self-paced prep for the GARP Financial Risk Manager exam, Parts I and II, from risk foundations and quantitative analysis to market, credit, operational, liquidity, and investment risk. Quantitative throughout, with real value-at-risk, duration, and expected-loss work.

What's included

  • 11 modules across FRM Part I and Part II

  • 250 exam-style practice questions, including multiple-response items, each with a full rationale

  • A four-part study package on every lesson: a multi-learning-style study guide, a flashcard deck, a formula sheet, and a worked-example workbook

  • Full-length timed mock practice

  • Ongoing access in the Academy portal

Who it's for

Risk analysts and managers pursuing the FRM, treasury, credit, and market-risk professionals, and quantitative and investment-management staff.

How it works

Immediate access in the Academy after checkout, using your order email. Study at your own pace; access does not expire.

Original content mapped to the GARP FRM Learning Objectives. Copyrighted exam materials are not reproduced. Topic weights are approximate and the exam is graded on a quartile basis, confirm the current Learning Objectives with GARP.

FRM Certification Prep · Financial Risk Manager (GARP)

Self-paced prep for the GARP Financial Risk Manager exam, Parts I and II, from risk foundations and quantitative analysis to market, credit, operational, liquidity, and investment risk. Quantitative throughout, with real value-at-risk, duration, and expected-loss work.

What's included

  • 11 modules across FRM Part I and Part II

  • 250 exam-style practice questions, including multiple-response items, each with a full rationale

  • A four-part study package on every lesson: a multi-learning-style study guide, a flashcard deck, a formula sheet, and a worked-example workbook

  • Full-length timed mock practice

  • Ongoing access in the Academy portal

Who it's for

Risk analysts and managers pursuing the FRM, treasury, credit, and market-risk professionals, and quantitative and investment-management staff.

How it works

Immediate access in the Academy after checkout, using your order email. Study at your own pace; access does not expire.

Original content mapped to the GARP FRM Learning Objectives. Copyrighted exam materials are not reproduced. Topic weights are approximate and the exam is graded on a quartile basis, confirm the current Learning Objectives with GARP.