David, I need a piece of advice from you on how to organise my preparation schedule. Having 49 days left, I need to get clearer study plan and concentrate on execution. I tried GARP (bunch of articles and no structure) and schweizer (very wordy) materials in the beginning and later decided to stick solely to your notes. At least for me, your materials work the best (so far). I have finance related degree and prefer “summary format”. Today I have finished reading your 4th book (great job) and now surely need to start practicing (a lot!). I got your FRM practice questions (2 documents, 40 questions) which I presume give a general idea of what exam questions will look like. Also I downloaded GARP FRM practice exams 2009 (50 questions) and 2010 (40 questions) and purchased Financial Risk Management Handbook - 5th Edition - by Philippe Jorion with CD ROM. I am planning the following practicing practicing approach:
1. BT practice questions (40 in total)
2. End of chapter questions from Financial Risk Management Handbook (
PART ONE
Quantitative Analysis
CHAPTER 1
Bond Fundamentals
CHAPTER 2
Fundamentals of Probability
CHAPTER 3
Fundamentals of Statistics
CHAPTER 4
Monte Carlo Methods
PART TWO
Capital Markets
CHAPTER
Introduction to Derivatives
CHAPTER 6
Options
CHAPTER 7
Fixed-Income Securities
CHAPTER 8
Fixed-Income Derivatives
CHAPTER 9
Equity, Currency, and Commodity Markets
have I missed something? Problem with the book is that it does not have a clear cut between L1 and L2)
3. CD ROM questions –from Financial Risk Management Handbook
(
1. Quantitative Analysis Sample Exam (10 Questions)
4. Operational Risk Sample Exam (25 Questions)
6. Short Practice Exam 1 (20 Questions) - will have to skip L2 questions
7. Short Practice Exam 2 (20 Questions)- will have to skip L2 questions
8. Medium Practice Exam 1 (40 Questions)- will have to skip L2 questions
9. Medium Practice Exam 2 (40 Questions)- will have to skip L2 questions
10. Long Practice Exam 1 (60 Questions)- will have to skip L2 questions
)
4. End of chapter questions from schweizer notes (2009) edition
5. GARP FRM practice exams 2009 and 2010 (90 questions)
What else in your opinion I should be utilizing? I don't have much time due to workload and family commitents so I need to orginise myself properly.
Regards, Alex
1. BT practice questions (40 in total)
2. End of chapter questions from Financial Risk Management Handbook (
PART ONE
Quantitative Analysis
CHAPTER 1
Bond Fundamentals
CHAPTER 2
Fundamentals of Probability
CHAPTER 3
Fundamentals of Statistics
CHAPTER 4
Monte Carlo Methods
PART TWO
Capital Markets
CHAPTER
Introduction to Derivatives
CHAPTER 6
Options
CHAPTER 7
Fixed-Income Securities
CHAPTER 8
Fixed-Income Derivatives
CHAPTER 9
Equity, Currency, and Commodity Markets
have I missed something? Problem with the book is that it does not have a clear cut between L1 and L2)
3. CD ROM questions –from Financial Risk Management Handbook
(
1. Quantitative Analysis Sample Exam (10 Questions)
4. Operational Risk Sample Exam (25 Questions)
6. Short Practice Exam 1 (20 Questions) - will have to skip L2 questions
7. Short Practice Exam 2 (20 Questions)- will have to skip L2 questions
8. Medium Practice Exam 1 (40 Questions)- will have to skip L2 questions
9. Medium Practice Exam 2 (40 Questions)- will have to skip L2 questions
10. Long Practice Exam 1 (60 Questions)- will have to skip L2 questions
)
4. End of chapter questions from schweizer notes (2009) edition
5. GARP FRM practice exams 2009 and 2010 (90 questions)
What else in your opinion I should be utilizing? I don't have much time due to workload and family commitents so I need to orginise myself properly.
Regards, Alex