FRM Part 2 Practice Tests | Exam Questions [2026]

Udemy MOOC / Non-credit USD 199.99
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FRM Part 2 Practice Tests | Exam Questions [2026]

About this course

Pass the GARP Financial Risk Manager Part 2 exam on your first attempt. Six timed, full-length practice tests totalling 480+ scenario-based questions cover the complete GARP blueprint for market, credit, operational, liquidity and integrated risk.Every question is written in the exam's style and paired with a detailed answer explanation so you understand not only the correct answer, but why every other option is wrong. Questions and answer choices are randomised on each attempt so you build genuine mastery rather than memorising option positions.What you get:6 full-length timed practice exams (80 questions each)480+ unique, realistic questions across the full exam blueprintThorough explanations for every answer choiceRandomised question and answer order on each attempt240-minute timer per test with 50% passing benchmarkInstant scoring with weak-area breakdownLifetime access, mobile-friendly, and a 30-day Udemy money-back guaranteeWho this is for: GARP professionals preparing for the GARP Financial Risk Manager Part 2 exam, candidates validating their market, credit, operational, liquidity and integrated risk skills, and career switchers building a GARP certification portfolio.Tip: Treat each test like the exam — timed, no notes, no pauses. Review every explanation, including for questions you got right. Re-take any test scoring below 80% before moving on. When you can clear all six tests at 85%+ in one sitting, you are ready to book the exam.Enroll now, start your first timed practice test, and find out exactly where you stand against the real GARP Financial Risk Manager Part 2 blueprint.Disclaimer: This course is not affiliated with, endorsed by, or sponsored by GARP. GARP and Financial Risk Manager are trademarks of the Global Association of Risk Professionals. All practice q

What you'll learn

  • understand market risk
  • grasp credit risk concepts
  • navigate operational risk
  • analyze liquidity risk
  • integrate various risk management practices

Course objectives

  • provide realistic exam practice
  • enhance knowledge of financial risk management
  • build test-taking endurance

Skills you'll gain

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