
Learn + Practice Package (for FRM Part II)
$299.00
AnalystPrep’s FRM Part II Learn + Practice Package includes:
- Video Lessons (53 hours worth of video lessons by Prof. James Forjan, CFA, PhD)
- Study Notes (Over 1,000 pages worth of study notes covering each chapter)
- Question Bank (2,200 FRM Part II practice questions organized by chapter)
- Printable Mock Exams (2 mock exams for a total of 160 extra practice questions)
- Performance Tracking Tools (View your performance in attractive charts)
- 5 Ask-a-tutor Questions (Ask five questions to our tutors via live chat)
- 12-Month Access (No recurring billing)
Testimonials

Created by professionals
Sometimes demonstrating a concept is the best way to learn. Our FRM study notes and video lessons make the most of visual analogies to explain otherwise elusive and mind-boggling concepts. Real-world scenarios and examples are just what you need to envision the practical aspect of your studies.
AnalystPrep’s FRM Part II practice questions reflect the difficulty and style of the live FRM exam part II. We provide you with a tailored, exam-centered question bank designed to teach you all the essentials of the topics that will make up the curriculum of the test. The question bank undergoes regular updates to incorporate the latest curriculum changes.
This package includes:
Study Notes
Video Lessons
Question Bank
Mock Exams
And Much More...

About FRM Part II
The FRM Part II exam is broken down into six different general themes, and are all assigned different percentages that factor into your overall grade:
- Market Risk Measurement and Management (20%)
- Credit Risk Measurement and Management (20%)
- Operational and Integrated Risk Management (20%)
- Liquidity and Treasury Risk Management and Measurement (15%)
- Risk Management in Investment Management (15%)
- Current Issues in Financial Markets (10%)
Part II of the FRM exams will challenge you on 80 multiple choice questions and is offered at two available dates during the year. Pass rates for the FRM Part II exam average around 50%, but keep in mind that half of the candidates have already failed Part I.
There are several key topics that should be emphasized throughout your study plan for FRM2. They include:
- VaR Mapping
- Volatility Smiles
- Spread Risk and Default Intensity Models
- Netting, Compression, Resets, and Termination Features
- Stress Testing Banks
- Basel II.5, Basel III, and Other Post-Crisis Changes
- Alpha (and the Low-Risk Anomaly)
- Performing Due Diligence on Specific Managers and Funds
- Current Issues in Financial Markets
- etc.
In the exam, you have to understand the basics behind these theories, but also apply complex mathematical formulas to solve questions that are much more lengthy than in part 1. From experience, the only way to get through is to practice, practice, and practice…

Meet Our Lead Instructor, Professor James Forjan, PhD
Wouldn’t it be great if studying for the FRM exams was as easy as watching TV?
With AnalystPrep video lessons, it is!
Our video lessons follow the same pattern as the chapters from the FRM books – with the exception that we emphasize on the learning objectives on which exam questions are based! Plus we add convenient mathematical examples throughout so that you are better prepared on the big day.
Professor James Forjan, who has taught college-level finance classes for over 23 years, summarizes FRM Part I & Part II curriculums in 151 simple videos. With a clear passion for teaching, Prof. Forjan has worked in the exam preparation industry for decades after earning his PhD in 1991. His resume includes:
- BS in accounting
- MSc in Finance
- PhD in Finance (minor in Economics and two PhD level classes in Econometrics)
- Has taught at different 6 universities (undergraduate and graduate-level Finance classes)
- Co-author of investment books
- Has crafted, edited, updated, and upgraded a multitude of CFA and FRM exam-type questions at all levels
- And much more…