Philippe Jorion — FRM Exam Handbook 2d edition, Financial Risk Manager Handbook

Год выпуска: 2003
Автор: Philippe Jorion
Жанр: Financial Risk Management, Финансы
Издательство: John Wiley Sons, Inc
ISBN: 0-471-43003-X
Формат: PDF
Качество: Отсканированные страницы
Количество страниц: 733
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The Financial Risk Manager (FRM) is the certification recognized among financial risk professionals worldwide, with 13,685 FRMs in 90 countries across the globe.
The FRM exam is given once a year (2008’s exam is on November 15th) in testing sites around the world. Last year’s exam was administered in 73 sites. The exam covers all the key areas of risk and the questions are presented in the context of real-world situations that a candidate might face.
Financial risk management is one of the hottest skill sets to have in the financial services industry today that offers excellent visibility and outstanding earnings potential. The profession has seen considerable growth over the past 15 years fueled by the complexity of financial products, increased regulation and recent notable failures.

Like other careers in finance, having an advanced degree and certification helps to increase your career potential in financal risk management. Our FRM holders have positions such as Chief Risk Officer, Senior Risk Analyst, Head of Operational Risk, and Director, Investment Risk Management, to name a few. If you are in financial risk management, or considering a career in it, then earning your FRM is the next natural step.

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