the frm exam part i will cover the following topics: ·financial markets and products ·foundations of r**k management ·quantitative analys** ·valuation and r**k models 如果是金融学专业那还简单些,包括金融市场,股票债券衍生,银行,数理模型,以风险管理方法为主。个人觉得最难的是英语,可以加qq544930896,探讨探讨 20210311