
₹150.00
1. Exam Structure & Content
Our final FRM Part I mock exam, Set 5, features 100 multiple-choice questions in the standard domain split:
-
Foundations of Risk Management (20 Qs)
-
Quantitative Analysis (20 Qs)
-
Financial Markets and Products (30 Qs)
-
Valuation and Risk Models (30 Qs)
Set 5 blends question styles from the previous four—straightforward checks, multi-step problems, and case studies—to give you the most comprehensive rehearsal yet.
2. Realistic Difficulty & Timing
-
Full 4-Hour Simulation: Run through all questions in one sitting, exactly as you’ll face on test day.
-
Mixed Challenge: Expect a balanced mix of definitions, calculations, scenario analyses, and case-based prompts.
This final rehearsal builds the confidence to tackle anything the real exam can throw at you.
3. Detailed Solutions & Explanations
-
Comprehensive Walkthroughs: Every question includes stepwise explanations, alternative methods, and common trap warnings.
-
Strategy Highlights: We call out exam-taking tips—when to skip, how to eliminate choices, and time-saving shortcuts.
These insights help you refine both content mastery and tactical approaches for last-minute polish.
4. Performance Analytics
-
Overall Readiness Score: See your cumulative performance across all domains compared to your target pass rate.
-
Question-Type Breakdown: Review your accuracy on definitions vs. calculations vs. cases to pinpoint final touch-up areas.
This holistic feedback shows exactly where you stand—and what remains to perfect before exam day.
5. How to Leverage Set 5
-
Dress Rehearsal: Treat Set 5 as the real exam—no notes, no interruptions, strict timing.
-
Strategic Review: After finishing, go through the strategy highlights and implement any last-minute test tactics.
-
Final Drill: Pick 10 of your most missed questions from all five sets for one last rapid-fire quiz to reinforce tricky spots.
Conquering Set 5 under true exam conditions gives you the ultimate confidence boost—walk into your FRM Part I exam knowing you’ve seen it all.
Description
1. Exam Structure & Content
Our final FRM Part I mock exam, Set 5, features 100 multiple-choice questions in the standard domain split:
-
Foundations of Risk Management (20 Qs)
-
Quantitative Analysis (20 Qs)
-
Financial Markets and Products (30 Qs)
-
Valuation and Risk Models (30 Qs)
Set 5 blends question styles from the previous four—straightforward checks, multi-step problems, and case studies—to give you the most comprehensive rehearsal yet.
2. Realistic Difficulty & Timing
-
Full 4-Hour Simulation: Run through all questions in one sitting, exactly as you’ll face on test day.
-
Mixed Challenge: Expect a balanced mix of definitions, calculations, scenario analyses, and case-based prompts.
This final rehearsal builds the confidence to tackle anything the real exam can throw at you.
3. Detailed Solutions & Explanations
-
Comprehensive Walkthroughs: Every question includes stepwise explanations, alternative methods, and common trap warnings.
-
Strategy Highlights: We call out exam-taking tips—when to skip, how to eliminate choices, and time-saving shortcuts.
These insights help you refine both content mastery and tactical approaches for last-minute polish.
4. Performance Analytics
-
Overall Readiness Score: See your cumulative performance across all domains compared to your target pass rate.
-
Question-Type Breakdown: Review your accuracy on definitions vs. calculations vs. cases to pinpoint final touch-up areas.
This holistic feedback shows exactly where you stand—and what remains to perfect before exam day.
5. How to Leverage Set 5
-
Dress Rehearsal: Treat Set 5 as the real exam—no notes, no interruptions, strict timing.
-
Strategic Review: After finishing, go through the strategy highlights and implement any last-minute test tactics.
-
Final Drill: Pick 10 of your most missed questions from all five sets for one last rapid-fire quiz to reinforce tricky spots.
Conquering Set 5 under true exam conditions gives you the ultimate confidence boost—walk into your FRM Part I exam knowing you’ve seen it all.