1、Foundations of Risk Management风险管理基础(大约占20%)
2、Quantitative Analysis定量分析(大约占20%)
3、Valuation and Risk Models估值与风险模型(大约占30%)
4、Financial Markets and Products金融市场与产品(大约占30%)
1、Market Risk Measurement and Management市场风险计量和管理(大约占20%)
2、Credit Risk Measurement and Management信用风险计量和管理(大约占20%)
3、Operational and Integrated Risk Management操作风险与弹性(大约占20%)
4、Liquidity and Treasury Risk Measurement and Management 流动性与资金风险计量和管理(大约占15%)
5、Risk Management and Investment Management风险管理和投资管理(大约占15%)
6、Current Issues in Financial Markets当期金融市场热点问题(大约占10%)