Kaplan Schweser 2010 study notes FRM : part 1 : book 2 : financial markets and products.
Material type: BookPublisher: La Crosse, WI. : Kaplan Schweser, c2010.Description: 226 p. : ill ; 28 cm.ISBN: 9781427726186Other title: Kaplan Schweser study notes 2010 for the financial markets and products exam, part 1 | FRM part 1 November study notes book 2 : foundation of risk management : quantitive analysis | Schweser 2010 financial risk manager study notes.Subject(s): Credit -- Management -- Examinations, questions, etc | Risk management -- Examinations, questions, etc | Credit derivatives -- Examinations, questions, etcDDC classification: . Online resources: Location MapItem type | Home library | Call number | Status | Date due | Barcode | Item holds |
---|---|---|---|---|---|---|
REGULAR | University of Wollongong in Dubai Main Collection | 658.155 KA PL (Browse shelf) | Available | T0039854 | ||
REGULAR | University of Wollongong in Dubai Main Collection | 658.155 KA PL (Browse shelf) | Available | T0039792 | ||
REGULAR | University of Wollongong in Dubai Main Collection | 658.155 KA PL (Browse shelf) | Available | T0039796 |
Total holds: 0
, Shelving location: Main Collection Close shelf browser
658.155 KA PL Kaplan Schweser 2010 study notes FRM : | 658.155 KA PL Kaplan Schweser 2010 study notes FRM : | 658.155 KA PL Kaplan Schweser 2010 study notes FRM : | 658.155 KA PL Kaplan Schweser 2010 study notes FRM : | 658.155 KA PL Kaplan Schweser 2010 study notes FRM : | 658.155 KA PL Kaplan Schweser 2010 study notes FRM : | 658.155 KA PL Kaplan Schweser 2010 study notes FRM : |
Pack Contents:Book 1. Foundations of Risk Management; Quantitative analysisBook 2. Financial markets and products; Book 3. Valuation and risk modelsBook.4. Credit risk measurement and managementBook 5. Practice Exams.