工作十年了,老了,今年报考frm-lv1,不知道怎么入手?给点建议!
1) Foundations of Risk Management (20%) (20 Questions) 
2) Quantitative Analysis (20%) (20 Questions) 
3) Financial Markets and Products (30%) (30 Questions) 
4) Valuation and Risk Modeling (30%) (30 Questions)
想先看点中文的,再看英文,现在手头资料都没有,生活所迫!
拜托各位了!