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FINANCIAL RISK MANAGER HANDBOOK + TEST BANK FRM PART I AND PART II BY PHILIPPE JORION, GARP (GLOBAL ASSOCIATION OF RISK PROFESSIONALS) FINANCIAL RISK MANAGER HANDBOOK + TEST BANK FRM PART I AND PART II BY PHILIPPE JORION, GARP (GLOBAL ASSOCIATION OF RISK PROFESSIONALS)
  • FINANCIAL RISK MANAGER HANDBOOK + TEST BANK FRM PART I AND PART II BY PHILIPPE JORION, GARP (GLOBAL ASSOCIATION OF RISK PROFESSIONALS)

  • Tentamen (uitwerkingen) • 819 pagina's • 2021
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  • TABLE OF CONTENTS PART ONE Foundations of Risk Management. CHAPTER 1 Risk Management. PART TWO Quantitative Analysis. CHAPTER 2 Fundamentals of Probability. CHAPTER 3 Fundamentals of Statistics. CHAPTER 4 Monte Carlo Methods. CHAPTER 5 Modeling Risk Factors. PART THREE Financial Markets and Products. CHAPTER 6 Bond Fundamentals. CHAPTER 7 Introduction to Derivatives. CHAPTER 8 Option Markets. CHAPTER 9 Fixed-Income Securities. CHAPTER 10 Fixed-Income Deriva...
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