1.Foundations of Risk Management風險管理基礎(大約占20%)
2.Valuation and Risk Models估值與風險建模(大約占30%)
3.Financial Markets and Products金融市場與金融產品(大約占30%)
4.Quantitative Analysis數量分析(大約占20%)
FRM二級(***80題)
1.Market Risk Measurement and Management市場風險管理與測量(大約占25%)
2.Operational and Integrated Risk Management操作及綜合風險管理(大約占25%)
3.Current Issues in Financial Markets金融市場前沿話題(大約占10%)
4.Risk Management and Investment Management投資風險管理(大約占15%)
5.Credit Risk Measurement and Management信用風險管理與測量(大約占25%)
註:FRM考試的各科試題隨機分散在試卷中,沒有先後次序。