FRM考试第一部分主要是评估金融风险的工具。它们包括: 1.风险管理基础(Foundations of Risk Management) 2.定量分析(Quantitative Analysis) 3.金融市场与金融产品(Financial Markets and Products) 4.估值与风险模型(Valuation and Risk Models) FRM考试第二部分主要是FRM一级中那些工具的实际应用。 1.市场风险测量与管理(Market Risk Measurement and Management) 2.信用风险测量与管理(Credit Risk Measurement and Management) 3.操作与系统风险管理(Operational and Integrated Risk Management) 4.风险管理与投资管理(Risk Management and Investment Management) 5.当前金融市场形势(Current Issues in Financial Markets) |