FRM—Financial Risk Manager Part 1: Practice Tests | 2026
About this course
Prepare for GARP FRM Part I with Six Complete Exam SimulationsBuild the focus, calculation accuracy, time-management discipline, and risk-analysis skills needed for the FRM Part I examination through six full-length practice tests containing 600 original questions.Each practice test contains 100 multiple-choice questions and is designed for a four-hour exam simulation. Together, the six tests provide comprehensive practice across the four major FRM Part I knowledge areas:Foundations of Risk ManagementQuantitative AnalysisFinancial Markets and ProductsValuation and Risk ModelsThese are not short quizzes or progressively harder tests. All six practice tests are calibrated as realistic final-exam simulations with balanced coverage, mixed difficulty, plausible distractors, and a combination of conceptual, calculation-based, data-interpretation, and applied-scenario questions.What Is Included?6 complete FRM Part I practice tests100 questions per test600 original exam-style questions4-hour recommended time limit for every testDetailed explanations for every correct answerIndividual explanations for every incorrect optionFormula-based and numerical questionsConceptual and applied risk-management scenariosBalanced coverage of all four FRM Part I knowledge areasBalanced correct-answer positions to reduce guessing patternsSelf-contained questions with no external charts or exhibits requiredQuestions designed to test reasoning—not simple memorizationFull pre-publication quantitative, duplicate, blueprint, and integrity validationPractice the Skill
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What you'll learn
- improve risk-analysis skills
- increase calculation accuracy
- enhance time-management discipline
- understand risk management foundations
- familiarize with financial markets and products
Course objectives
- prepare for the GARP FRM Part I examination
- simulate the exam experience through timed practice tests
- test understanding of four major FRM knowledge areas
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