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FRM Part II Liquidity and Treasury Risk Measurement and Management Liquidity Management MCQs Test 1
General

FRM Part II Liquidity and Treasury Risk Measurement and Management Liquidity Management MCQs Test 1

Practice FRM 2026 Part II Liquidity and Treasury Risk Measurement and Management MCQs from Liquidity Management. Get instant results with Explanation.
Practice Quiz 1 for "Liquidity Management" (Liquidity and Treasury Risk Measurement and Management). Total 21 MCQs available, split into 3 quizzes. Start with the fundamentals and build a strong base. Mastering these concepts is essential for securing a high percentile in FRM.
General10 MCQs
1. What is liquidity management?
2. What is the formula for the cash conversion cycle?
3. What is the operating cycle?
4. What is the trade-off in working capital management?
5. What is an aggressive working capital financing strategy?
General10 MCQs
6. What is a conservative working capital financing strategy?
7. What is the maturity matching (hedging) strategy?
8. What is the objective of cash management?
9. What is the Baumol model in cash management?
10. What is the Miller-Orr model in cash management?

📋 FRM - Test Online Practice Quizzes

FRM

Conducting Body: Global Association of Risk Professionals GARP
Frequency: three times a year: May, August, and November | Time: 100 Minutes
Negative Marking: No

⚡ Test Pattern (Total: 100 MCQs):

Subject breakdown not available.

Merit Formula: -

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