lv1跟full的资料一样,只不过只考full的一半而已 
  
 
| 主题 | 
 权重  | 
 考题数  |  
| Foundations of Risk Management 风险管理基础 | 
 10%  | 
 14 题  |  
| Quantitative Analysis 定量分析 | 
 10%  | 
 14 题  |  
| Financial Markets and Products 全球金融市场与主要金融产品分析 | 
 15%  | 
 21 题  |  
| Valuation and Risk Models 价值评估与风险模型 | 
 15%  | 
 21 题  |  
| Market Risk Measurement and Management 市场风险计量与管理 | 
 10%  | 
 14 题  |  
| Credit Risk Measurement and Management 信用风险计量与管理 | 
 10%  | 
 14 题  |  
| Operational and Integrated Risk Management 操作风险管理与综合风险管理 | 
 10%  | 
 14 题  |  
| Risk Management and Investment Management 投资风险管理 | 
 10%  | 
 14 题  |  
| Current Issues in Financial Markets 当前金融市场的热点问题 | 
 10%  | 
 14 题  |   
  
  
 
| 主题 | 
 权重  | 
 考题数  |  
| Foundations of Risk Management 风险管理基础 | 
 20%  | 
 20 题  |  
| Quantitative Analysis 定量分析 | 
 20%  | 
 20 题  |  
| Financial Markets and Products 全球金融市场与主要金融产品分析 | 
 30%  | 
 30 题  |  
| Valuation and Risk Models 价值评估与风险模型 | 
 30%  | 
 30 题  |    |