GARP Digital Library

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Active Portfolio Management: A Quantitative Approach for Producing Superior Returns and Controlling Risk, 2nd Edition

By Grinold, Richard
Kahn, Ronald

7 Chapters Available  US$4.00/chapter (Member)

Dynamic Portfolio Theory and Management: Using Active Asset Allocation to Improve Profits and Reduce Risk

By Oberuc, Richard

3 Chapters Available  US$4.50/chapter (Member)

Credit Derivatives: Application, Pricing, and Risk Management

By Meissner, Gunter

6 Chapters Available  US$14.95/chapter (Member)

Risk Management and Derivatives

By Stulz, Rene

6 Chapters Available  US$5.95/chapter (Member)

The Risk Management Process: Business Strategy and Tactics

By Culp, Christopher

5 Chapters Available  US$2.95/chapter (Member)

Financial Risk Management: A Practitioner`s Guide to Managing Market and Credit Risk

By Allen, Steven

8 Chapters Available  US$6.00/chapter (Member)

Interest Rate Risk Modeling: The Fixed Income Valuation Course

By Beliaeva, Natalia
Nawalkha, Sanjay
Soto, Gloria

2 Chapters Available  US$5.00/chapter (Member)

The Fundamentals of Risk Measurement

By Marrison, Chris

5 Chapters Available  US$2.50/chapter (Member)

Understanding Market, Credit, and Operational Risk: The Value at Risk Approach

By Allen, Linda
Boudoukh, Jacob
Saunders, Anthony

7 Chapters Available  US$10.95/chapter (Member)

Futures, Options, and Swaps

By Kolb, Robert W.

5 Chapters Available  US$5.50/chapter (Member)

Credit Derivatives and Synthetic Structures: A Guide to Instruments and Applications, 2nd Edition

By Tavakoli, Janet

8 Chapters Available  US$6.44/chapter (Member)

Derivatives Markets, 2nd Edition

By McDonald, Robert

3 Chapters Available  US$8.50/chapter (Member)

GARP Risk Review November/December 2005

By Sales, Robert

13 Chapters Available  US$0.00/chapter (Member)

Measuring Market Risk, 2nd Edition

By Dowd, Kevin

7 Chapters Available  US$6.00/chapter (Member)

Measuring and Managing Credit Risk

By De Servigny, Arnaud
Renault, Olivier

6 Chapters Available  US$7.00/chapter (Member)

Modeling, Measuring, and Hedging Operational Risk

By Cruz, Marcelo

14 Chapters Available  US$6.00/chapter (Member)
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Chapter 2010 2010 FRM Practice Exam
Reading Title:
Reading Author(s):
Book Title:
Book Author(s):
Chapter:
2010
Publisher:
Reading Price:
GARP Member:  US$100.00
 
Non-Member:    US$150.00

Summary:

The FRM Exam is a practice-oriented examination. Its questions are derived from a combination of theory, as set forth in the core readings, and "real-world" work experience. Candidates are expected to understand risk management concepts and approaches and how they would apply to a risk manager`s day-to-day activities. The FRM ... click here for more details.





 
   
GARP Digital Library