Paper DB1
The examination will cover the two subject areas. Module B will cover both 'Financial Strategy' and 'Risk Management' topics. The structure of the examination for Module B will be as follows:
Section A - 20 multiple choice questions (10 covering subject area 1and 10 covering subject area 2) of 2 marks each
Section B - 3 written questions of 20 marks each - covering subject area 1
Section C - 3 written questions of 20 marks each - covering subject area 2
Candidates will be required to attempt all questions in Section A, one question from Section B, one question from Section C and one final question from either Section B or Section C.


