Prepare for the 2026 GARP FRM Part II exam with six full-length, exam-style practice tests designed to strengthen your knowledge, judgment, calculation skills, and performance under timed conditions.This course includes 480 carefully developed multiple-choice questions across six realistic exam simulations. Every test is designed at final-exam difficulty, helping you evaluate your readiness across the complete FRM Part II curriculum rather than progressing through artificially easy practice sets.FRM Part II requires more than memorizing definitions. Candidates must interpret complex scenarios, connect concepts across risk disciplines, apply quantitative methods, distinguish between closely related alternatives, and make sound risk-management decisions. These practice exams are built to help you develop those skills.What Is Included?6 full-length FRM Part II practice exams80 questions in each exam480 exam-style questions in totalFour answer choices for every questionA detailed explanation for the correct answerIndividual explanations for incorrect answer choicesQuestions covering conceptual, quantitative, interpretive, and scenario-based applicationsRealistic distractors designed to test careful reading and professional judgmentBroad coverage across all major FRM Part II knowledge areasTopics CoveredThe practice exams include questions relating to:Market Risk Measurement and ManagementCredit Risk Measurement and ManagementOperational Risk and ResilienceLiquidity and Treasury Risk Measurement and ManagementRisk Management and Investment ManagementCurrent Issue
What you'll learn
Improve your ability to manage market risks
Enhance your skills in credit risk assessment
Develop a deeper understanding of operational risk and resilience
Foster skills in liquidity and treasury risk management
Learn to apply risk management principles in investment scenarios