Welcome to your ultimate practice suite for GARP Financial Risk Manager (FRM) Part II.Our goal is simple: Help you pass on the first try.This course includes 6 full-length mock exams designed to replicate the structure, complexity, and advanced analytical depth of the real FRM Part II exam. Each question is scenario-based, requiring you to evaluate complex financial risk situations, apply quantitative models, and make informed decisions under realistic conditions rather than relying on memorization.You will cover all major FRM Part II domains, including market risk measurement and management, credit risk, operational risk, liquidity and treasury risk, risk management and investment management, and current issues in financial markets. The content reflects real-world scenarios faced by risk professionals and aligns with how concepts are tested in the actual exam.Each question includes detailed explanations that clearly justify the correct answer and explain why alternative choices are incorrect, reinforcing deep understanding and helping eliminate common analytical errors.All exams are timed to simulate real exam conditions, enabling you to improve time management, build endurance, and enhance decision-making under pressure.This course is fully aligned with the FRM Part II 2026 Curriculum, ensuring your preparation is accurate, relevant, and up to date.Use these mock exams to assess your readiness, identify weak areas, and refine your strategy for optimal exam performance.
What you'll learn
understanding of market risk measurement and management
insight into credit and operational risk
knowledge of liquidity and treasury risk
awareness of current issues in financial markets
Course objectives
to help students replicate the real FRM Part II exam environment
to improve students' time management and endurance for the exam
to provide strategies for successful exam performance