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Financial Risk Manager (FRM) Part 1: Mock Exam 500+ Question
Rating: 5.0 out of 5(1 rating)
475 students

Financial Risk Manager (FRM) Part 1: Mock Exam 500+ Question

Full-Length Practice Exams with 500+ Questions Designed to Strengthen Your FRM Part 1 Knowledge and Test-Taking Skills
Last updated 11/2025
English

What you'll learn

  • Strengthen and reinforce key FRM concepts
  • Gain a strong understanding of the FRM exam format
  • Learn to identify and handle tricky and challenging exam questions
  • Practice essential FRM calculations with confidence

Included in This Course

588 questions
  • FRM Practice Test 193 questions
  • FRM Practice Test 2105 questions
  • FRM Practice Test 386 questions
  • FRM Practice Test 4103 questions
  • FRM Practice Test 5101 questions
  • FRM Practice Test 6100 questions

Description

What is a Financial Risk Manager (FRM)?

The Financial Risk Manager (FRM) is a globally recognized professional certification awarded by the Global Association of Risk Professionals (GARP). Since the FRM program began in 1997, more than 70,000 professionals worldwide have earned this prestigious designation, making it one of the most respected qualifications in the field of financial risk management.

The FRM certification is considered the gold standard for careers in risk management across banks, insurance companies, investment and asset management firms, consulting organizations, fintech companies, and regulatory bodies. To become a certified FRM, candidates must pass both Part 1 and Part 2 exams and demonstrate at least two years of relevant professional experience in financial risk management.

Achieving the FRM designation proves that an individual possesses advanced expertise, practical skills, and current industry knowledge in identifying, analyzing, and managing financial risks. Certified FRMs typically enjoy strong career growth, enhanced credibility, and attractive income opportunities.

The FRM exam is a two-part, computer-based test, with each part lasting 4 hours.

  • Part 1 contains 100 multiple-choice questions

  • Part 2 contains 80 multiple-choice questions

According to UK ENIC benchmarking, the FRM exam difficulty is comparable to a Master’s degree level.

FRM Part 1 Topic Weights

  • 20% – Foundations of Risk Management (FRM)

  • 20% – Quantitative Analysis (QA)

  • 30% – Financial Markets and Products (FMP)

  • 30% – Valuation and Risk Models (VRM)

Features of This Course

  • Updated as per the latest FRM Part 1 syllabus (2023)

  • 500+ high-quality MCQs with detailed explanations

  • 24/7 instructor support via Q&A or direct messages

  • 30-day money-back guarantee for complete peace of mind

Who this course is for:

  • Candidates preparing for FRM Part 1 who want extensive question practice