FRM Part II Book 3: Operational and integrated risk-management (2013 SchweserNotes)

该资源由用户: 清妍子 上传  举报不良内容

Kaplan, Inc., 2013. — 309 p. — ISBN 978-1-4277-4461-1The seventh in the eight books set designed to prepare for the GARP FRM Exam (2013).ContentsCapital allocation and performance measurementRange of practices and issues in economic capital modelingAssessing the quality of risk measuresLiquidity and leverageEstimating liquidity risksModel RiskEnterprise risk management: theory and practiceA Review of the Key Issues in Operational Risk Capital ModelingChallenges and pitfalls in measuring operational risk from Loss DataThe Failure Mechanism of Dealer BanksPrinciples for the Sound Management of Operational RiskObservations on developments in Risk Appetite Frameworks and IT InfrastructureStress Testing BanksBasel IIBasel III

如果您对该资源产生疑虑,欢迎您 点击此处 举报不良内容。 希望我们能共建一个文明社区!感谢您的合作与支持!

扫一扫即可关注本站(PDF之家)微信公众账号
发送您想要找的书籍名称即可找到书籍

Image

本站为非盈利性网站, 但服务器成本高昂, 如果本站内容对您有帮助, 欢迎捐赠, 您的鼓励是我们最大的动力!

大小: 33.8 MB
格式: PDF

声明

本站资源来源于网络及个人用户网盘上传,仅用于分享知识,学习和交流! 本站不保存,不制作,不出售任何图书。请您下载完在24小时内删除。 资源禁用于商业用途!如果您喜欢本站资源,请购买正版,谢谢合作!

标签

FRM Part II Book Operational integrated risk management 2013 SchweserNotes

扫码支持一下:

Image Image

猜你喜欢

FRM Part II Book 3: Operational and integrated risk-management (2013 SchweserNotes)

请输入验证码: