I can recall there are questions about model risk, QQ-plot, CVAs, the Ho-Lee model, three lines of defense, portfolio management, risk contribution, VaR mapping, and the comparison of reference interest rates.
The test focused on the dynamic nature of the concepts, models, and formulas, but not...
I was told that the exam in Nov 2021 is my last chance. However, I was delayed from May 2021 into December 2021, and not sure if this is my last chance or the exam right after this.
Hi everyone!
I have passed FRM part I in Nov 2017 (got the result on 4th Jan 2018). According to GARP, I have to pass part II by Nov 2021. Does that mean I have to pass part II before the exam in November 2021 or Nov 2021 is my last chance?
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