一、FRM考纲内容各部分所占比重:
FRM Part I:
1.Foundations of Risk Management 20%
2.Quantitative Analysis 20%
3.Financial Markets and Products 30%
4.Valuation and Risk Models 30%
FRM Part II:
1.Market Risk Measurement and Management 25%2.Credit Risk Measurement
and Management 25%3.Operational and Integrated Risk Management
25%4.Risk Management and Investment Management 15%5.Current Issues in
Financial Markets 10%各部分所占比例和往年相同,没有变化。