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FRM® Practice Questions

Our team writes fresh, unique practice questions every week. All registered users can view the practice questions; however, only paid members can view the answers and explanations.

Note: Paid members do not need to collect practice questions from the forum! After a chapter (or related chapters) is complete, the PQs are organized into a single PDF file and uploaded to the Study Planner and Interactive PQ Platform.
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FAQ's

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FRM Part 1 Exam Feedback

Discuss the FRM Part 1 exam. After exams are over, candidates can share information about the exam, feedback on its difficulty, specific topics covered, etc.
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FRM Part 2 Exam Feedback

Discuss the FRM Part 2 exam. After exams are over, candidates can share information about the exam, feedback on its difficulty, specific topics covered, etc.
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FRM Exam Results - Part 1 & 2

Let us know if you passed the exam and discuss it with other candidates!
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YouTube Videos Bionic Turtle YouTube videos covering the concepts in the FRM exam

Financial Calculator Tutorials

Video tutorials on using your financial calculator
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4
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25
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4
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P1.T1 Foundations of Risk

BT YouTube videos covering the concepts in Foundations of Risk Management
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12
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35
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12
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35

P1.T2 Quantitative Analysis

BT YouTube videos covering the concepts in Quantitative Analysis
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33
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63
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33
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63

P1.T3 Financial Markets & Products

BT YouTube videos covering the concepts in Financial Markets & Products
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45
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93
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45
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93

P1.T3 FM&P: Exotic options

BT YouTube videos covering Exotic Options in Financial Markets & Products
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5
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6
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5
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P1.T4. Valuation & Risk Models

BT YouTube videos covering the concepts in Valuation & Risk Models
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44
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102
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44
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102

P2.T5. Market Risk Measurement & Management

BT YouTube videos covering the concepts in Market Risk Measurement & Management
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10
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10
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R Programming (Data Science)

BT YouTube Videos Introducing R Programming
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12
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Chartered Financial Analyst® (CFA)

David Harper discusses the concepts covered on the CFA exam.
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11
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11
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Financial Risk Manager® (FRM). Free resources These forums are available and free to the Public. They follow the organization of GARP's current syllabus.

About FRM®

About the FRM or bionicturtle.com FRM prep service
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Part 1 FRM® Study Groups

Create a new study group or look for existing study groups for Part 1 of the FRM exam
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Part 2 FRM® Study Groups

Create a new study group or look for existing study groups for Part 2 of the FRM exam
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27
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759
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27
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759

Risk (general)

General risk topics that don't fit neatly into the nine FRM topics
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88
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287
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88
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287

P1.T1. Foundations of Risk (20%)

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366
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366
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P1.T2. Quantitative Methods (20%)

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807
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807
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P1.T4. Valuation & Risk Models (30%)

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576
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576
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P2.T6. Credit Risk (25%)

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660
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P2.T7. Basel II & Regulatory

Classified under Operational Risk & Integrated Risk but a big topic
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96
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395
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96
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395

P2.T8. Liquidity and Treasury Risk (15%)

This new topic was added to the FRM curriculum in 2020
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23
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99
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23
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99

P2.T9. Investment Management (15%)

This was previously Topic 8 prior to 2020. This is the reason that some of the threads within this forum will be labeled T8 instead of T9.
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234
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P2.T10. Current Issues (10%)

This was previously Topic 9 prior to 2020. This is why some of the threads in this forum will be labeled T9 instead of T10.
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Chartered Financial Analyst® (CFA) All things CFA related

Studying for the CFA® Exams

CFA® Discussions and Questions
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FRM® Practice Questions (for PAID customers) These forums (below) are for Paid customers. Each original practice question is posted here first and becomes a future reference for (i) follow-up questions, (ii) related comments, or (iii) proposed corrections if you have a disagreement or perceive a potential error or typo

GARP® Part 1 (P1) Practice Exam Questions

When posting a GARP practice exam, please post the year of the practice exam in the title and copy/paste the text and not an image.
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94
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540
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94
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540

GARP® Part 2 (P2) Practice Exam Questions

When posting a GARP practice exam, please post the year of the practice exam in the title and copy/paste the text and not an image.
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149
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863
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149
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863

P1.T1. Foundations of Risk

Practice questions for Foundations: Intro, CAPM, APT, Stulz, and Case Studies
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138
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138
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P1.T2. Quantitative Analysis

Practice questions for Quantitative Analysis: Econometrics, MCS, Volatility, Probability Distributions and VaR (Intro)
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350
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350
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P1.T3. Financial Market & Products

Practice questions for financial markets & products: Hull (options, futures & derivatives), commodities, FX, and corporate bonds
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196
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196
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P1.T4. Valuation & Risk Models

Practice questions for valuation and risk models: value at risk (VaR), binomial, BSM, Greeks, Tuckman's bonds, bond sensitivities, stress testing, credit ratings, expected/unexpected loss, OpRisk intro
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157
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157
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P2.T5. Market Risk

Practice questions for Market Risk Measurement & Management
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346
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3.5K
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346
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P2.T6. Credit Risk

Practice questions for credit risk
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314
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P2.T7. Operational Risk

Practice questions for operational risk and Basel II (Basel III)
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258
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258
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P2.T8. Liquidity and Treasury Risk

Practice questions for liquidity and treasury risk. Note: This is a new topic that was added to the curriculum in 2020.
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21
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226
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21
Messages
226

P2.T9. Investment Management

Practice questions for investment management and risk management. Note: This was previously Topic 8 prior to 2020. This is the reason that many of the threads within this forum will be listed under T8 instead of T9.
Threads
174
Messages
1.2K
Threads
174
Messages
1.2K

P2.T10. Current Issues

Practice questions for current issues. Note: This was previously Topic 9 prior to 2020. This is why many of the threads in this forum will be labeled T9 instead of T10.
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79
Messages
143
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79
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FRM® Archive Older forums are located (eventually transferred) to the location below. These forums are often LESS RELEVANT to current FRM candidates. However, due to the relative continuity of the FRM's underlying structure--despite its continuous churn--they continue to offer some relevance.

BT Part 1

Part 1 practice questions (OLD PQs)
Private

BT Part 2

Part 2 practice questions (OLD PQs)
Private

[P1 & P2]Text: Options, Futures & Derivatives, 7th

Assigned in 2010: Estimating volatility & correlation (Ch 21); Chapters 1 - 7, 9 and 10; Binomial (Ch 11), BSM (Ch 13), Greeks (Ch 17), Credit risk (Ch 22), Credit derivatives (Ch 23), Volatility smile (Ch 18), and Exotic options (Ch 24)
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Private

Miscellaneous Practice Questions

Prior Exam or Not Classified
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Latest profile posts

PRudr1638 wrote on Nicole Seaman's profile.
Hello Hopefully I am posting at the right thread. I just wanted to ask when will will the Part I new LOSes be added? There are not that many, probably less than 10 in number spread across 3 books. Sometimes it gets too confusing in the forum as to where things get added. So I asked here.
gsarm1987 wrote on Kabelo Mosarwe's profile.
practice daily. thats how you pass part 1. good luck
Where can I find the Study Planner?
Think exam went OK! Did my best to study all the topics, loved the many exercises offered by BT!
We'll see what happens ;) best case I'm an FRM in November, worst case I get to study everything again and become even better at my job :D
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