每一年考试GARP协会都会对考纲进行修改!
2021年12月1日GARP协会公布了2022年最新考纲,小编仔细对比了 GARP协会2022年和2021年的新旧考纲,找出了考纲更新修改部分。
今天小编将考纲对比详细的列出来,供大家备考参考!
2022年FRM一级二级整体变动较小。新增、变更和删除的内容不多。
2022年FRM一级考纲变化结构如下
考纲变动总结
| ||
科目 | 权重 | 变化总结 |
Foundations of Risk | 20% | 无变化 |
Management Quantitative Analysis | 20% | 无变化 |
Financial Markets and Products | 30% | 新增2条,修改14条,删除6条
|
Valuation and Risk Models | 30% | 新增3条,修改7条,删除10条 |
2022年FRM二级考纲变化结构如下
考纲变动总结
| ||
科目 | 权重 | 变化总结 |
Market Risk Measurementand Management | 20% | 修改3条 |
Credit Risk Measurement and Management | 20% | 新增2条,删除1条
|
Operational Risk and Resiliency | 20% | 修改1条,新增7条,删除4条 |
Liquidity and Treasury Risk Measurement and Management | 15% | 无变化 |
Risk Management and Investment Management | 15% | 无变化 |
CurrentIssues in Financial Markets 10% | 10% | 保留1篇,删除9篇,新增7篇 |
FRM P1 Book3 Chaptre 3.Fund Management
Financial Markets and Products 修改 Chapter 3.Fund Management;修改1条考点,具体LOS: Calculate the net asset value(NAV) of an open-end mutual fund 改为Explain the concept of net asset value(NAV) of an open-end mutual fund and how it relates to share price |
2022年考纲要求解释NAV以及NAV如何与价格相关。实际上对NAV的考察是放松了,考生在学习时多多注意,加强理解。
FRM P1 Book3 Chaptre 4.Introduction to Derivatives
Financial Markets and Products 修改 Chapter 4. Introduction to Derivatives;修改2条考点,具体LOS: Describe exchange-traded and over-the-counter markets,and evaluate the advantages and disadvantages of each. 改为Describe the specifics of exchange-traded and over-the-counter markets, and evaluate the advantages and disadvantages of each. Calculate an arbitrage payoff and describe how arbitrage opportunities are tempo ary. 改为Describe arbitrageurs' strategy and calculate an arbitrage payoff. |
2022年考纲要求描述交易所交易和场外交易市场的具体情况,描述套利者的策略并计算套利收益。对知识点的考察难度加深。
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