GARP - FRM 2008

Discover essential GARP FRM 2008 study guides and financial risk management books, curated for the 2008 exam curriculum. Explore key titles and author resources to master FRM concepts and boost your preparation.

Value at risk Cover
Book

Value at risk

 

No summary available.
Financial Risk Manager Handbook (Wiley Finance) Cover
Book

Financial Risk Manager Handbook (Wiley Finance)

 

No summary available.
Risk management and financial institutions Cover
Book

Risk management and financial institutions

 

No summary available.
Through the Alpha Smoke Screens Cover
Book

Through the Alpha Smoke Screens

 

No summary available.
Credit Derivatives Cover
Book

Credit Derivatives

 

No summary available.
Portfolio theory and performance analysis Cover
Book

Portfolio theory and performance analysis

 

No summary available.
Structured finance & insurance Cover
Book

Structured finance & insurance

 

No summary available.
Essentials of Econometrics + Data CD Cover
Book

Essentials of Econometrics + Data CD

 

No summary available.
Internal Credit Risk Models Cover
Book

Internal Credit Risk Models

 

No summary available.
Measuring market risk Cover
Book

Measuring market risk

 

No summary available.
Operational Risk Cover
Book

Operational Risk

 

No summary available.
Economic Capital Cover
Book

Economic Capital

 

No summary available.
Risk management and capital adequacy Cover
Book

Risk management and capital adequacy

 

No summary available.
Fixed Income Securities Cover
Book

Fixed Income Securities

 

No summary available.
The Risk Management Process Cover
Book

The Risk Management Process

 

No summary available.
Active portfolio management Cover
Book

Active portfolio management

 

No summary available.
Derivatives markets Cover
Book

Derivatives markets

 

No summary available.
Paul Wilmott Introduces Quantitative Finance Cover
Book

Paul Wilmott Introduces Quantitative Finance

 

No summary available.
Risk management Cover
Book

Risk management

 

No summary available.