FRM一级包括:风险管理基础Foundations of Risk Management;数量分析Quantitative Analysis;金融市场与金融产品Financial Markets and Products;风险建模Valuation and Risk Models。
FRM二级包括:市场风险管理与测量Market Risk Measurement and Management;信用风险管理与测量Credit Risk Measurement and Management;操作及综合风险管理Operational and Integrated Risk Management;投资风险管理Risk Management and Investment Management;金融市场前沿话题Current Issues in Financial Markets。
FRM分为两级考试,在每年的5月及11月各举行一次。