Risk management
FRM Test Prep
Financial Risk Manager Exam (Part I & II)
GARP's risk-management credential — probability, valuation, market/credit/operational risk. One of the most quantitative exams in finance.
The FRM is math or it is nothing. Chalkboard-style worked solutions for every model on the syllabus.
What the exam covers
- Part I: Foundations, Quantitative Analysis, Financial Markets, Valuation & Risk Models
- Part II: Market, Credit, Operational Risk; Liquidity; Investment Management
Blueprint summaries are simplified — always confirm current specifics with the official exam publisher.
Your FRM program
- Study-guide course — every blueprint topic, taught plainly
- Timed practice tests — real format, full explanations
- Adaptive drills — more reps exactly where you miss
- Worked-solution videos — every step on the board, chalkboard style
- $39/month — cancel anytime · 🛡 pass or your money back
FRM questions
What's on the FRM?
GARP's risk-management credential — probability, valuation, market/credit/operational risk. One of the most quantitative exams in finance. The program mirrors the official blueprint: Part I: Foundations, Quantitative Analysis, Financial Markets, Valuation & Risk Models, Part II: Market, Credit, Operational Risk; Liquidity; Investment Management.
What do I get for $39/month?
The complete FRM program: full study-guide course, timed practice tests in the real format, adaptive drills on your weak areas, and worked-solution videos for every quantitative topic.
How does the pass guarantee work?
Complete the FRM program — every study guide and practice test — and if you don't pass, we refund your subscription in full.
How do I start?
Take the free diagnostic. It grades every section of your exam and builds your study plan — no card required.