Over the past few months, we have been writing and organizing content for the Professional Risk Manager (PRM) Exam 1 syllabus.
While most of the content is in place, there are still a few more tutorials to go.
We thought it will be good to organize the curriculum page by sections and tutorials for easy navigation.
The new page can be accessed below.
The page neatly organizes the contents for the three sections, namely Finance Theory, Financial instruments, and Financial Markets. Within each section the content is organized into tutorials.
I hope you find it a convenient way to study for the exam.
All the best!