Item type | Current library | Home library | Shelving location | Call number | Materials specified | Status | Barcode | |
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American University in Dubai | American University in Dubai | Main Collection | HD 61 .J67 2009 (Browse shelf(Opens below)) | Copy Type:01 - Books | Available | 602991 |
Includes index.
"Sample FRM review test CD included"_cover.
Pt. 1. Quantitative Analysis -- Ch. 1. Bond Fundamentals -- Ch. 2. Fundamentals of Probability -- Ch. 3. Fundamentals of Statistics -- Ch. 4. Monte Carlo Methods -- Pt. 2. Capital Markets -- Ch. 5. Introduction to Derivatives -- Ch. 6. Options -- Ch. 7. Fixed-Income Securities -- Ch. 8. Fixed-Income Derivatives -- Ch. 9. Equity, Currency, and Commodity Markets -- Pt. 3. Market Risk Management -- Ch. 10. Introduction to Market Risk -- Ch. 11. Sources of Market Risk -- Ch. 12. Hedging Linear Risk -- Ch. 13. Nonlinear Risk: Options -- Ch. 14. Modeling Risk Factors -- Ch. 15. VAR Methods -- Pt. 4. Investment Risk Management -- Ch. 16. Portfolio Management -- Ch. 17. Hedge Fund Risk Management -- Pt. 5. Credit Risk Management -- Ch. 18. Introduction to Credit Risk -- Ch. 19. Measuring Actuarial Default Risk -- Ch. 20. Measuring Default Risk from Market Prices -- Ch. 21. Credit Exposure -- Ch. 22. Credit Derivative and Structured Products -- Ch. 23. Managing Credit Risk -- Pt. 6. Legal, Operational and Integrated Risk Management -- Ch. 24. Operational Risk -- Ch. 25. Liquidity Risk -- Ch. 26. Firm-Wide Risk Management -- Ch. 27. Legal Issues -- Pt. 7. Regulation and Compliance -- Ch. 28. Regulation of Financial Institutions -- Ch. 29. The Basel Accord -- Ch. 30. The Basel Market Risk Charge
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