Description
2025 FRM Exam Part 1 Book 3: Financial Markets and Products by John C. Hull is an essential guide for FRM candidates. It covers key financial instruments, market structures, and risk management techniques necessary for the FRM Part 1 exam.
This book provides in-depth knowledge of derivative markets, fixed-income securities, and structured financial products for risk management professionals. EBOOKÂ explores options, futures, forwards, swaps, and credit derivatives in detail.
Readers will gain a strong understanding of pricing models, arbitrage strategies, and the impact of interest rate fluctuations on investments. The book includes real-world case studies, exam-style questions, and hands-on exercises to reinforce critical concepts.
It also covers market risk, credit risk, and operational risk in global financial markets. Textbook helps candidates develop practical skills in managing financial exposures and assessing systemic risks.
Each chapter breaks down complex financial theories into simple, actionable insights for easier learning and application. The book is structured to align with the FRM curriculum, ensuring candidates cover all essential topics.
With clear explanations, practical examples, and quantitative analysis techniques, this guide is ideal for FRM aspirants and finance professionals. 2025 FRM Exam Part 1 Book 3: Financial Markets and Products provides a solid foundation for mastering financial markets and risk strategies.
This book is a must-read for anyone looking to excel in the FRM exam and advance their career in financial risk management.
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