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Rene M.Stulz – Readings for the Financial Risk Manager
Rene M.Stulz – Readings for the Financial Risk Manager
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Description
Volume 2 of Readings for Financial Risk Managers
The second volume of required readings for risk professionals preparing for the GARP FRM(r) Exam, the most important test for certification in financial risk management.
The most effective and cost-effective option to obtain the key readings from the FRM(r) Examination Study Guide is with Readings for the Financial Risk Manager, Volume 2 CD-ROM and its companion, Readings for the Financial Risk Manager CD-ROM. These two CD-ROMs contain over 1,700 pages of necessary reading material, all of which may be conveniently accessed in pdf format. Volume 2 of the set has over 500 pages of content. This CD-ROM and its companion include 72 of the 100 suggested readings of the FRM Committee for ease of access. A comprehensive appendix bibliography is also included so you may simply refer to any other reading resources that are not included on either CD-ROM. All additional required readings suggested by the FRM Committee of the Global Association of Risk Professionals for the FRM(r) Exam are available immediately or as references on both CD-ROMs.
The readings chosen by the FRM Committee are typical of the theory and ideas employed by risk management practitioners. These readings are recommended for anybody registering for the FRM(r) Exam and any other risk professional interested in the “mission important” information necessary to their line of work by the FRM Committee, which reviews the selection of reading materials for the FRM(r) Exam.
For individuals taking the FRM(r) Exam, GARP additionally suggests the most recent version of Philippe Jorion’s Financial Risk Manager Handbook in addition to these readings. Through www.garp.com or www.wiley.com, risk professionals may learn more about GARP, the FRM(r) Exam, and the Financial Risk Manager Handbook.
With more than 46,000 members worldwide, the Global Organisation of Risk Professionals (GARP) is the largest international association for risk management specialists. This compilation of chosen readings in financial risk management was coedited by Rich Apostolik, President and Chief Executive Officer of GARP, and René M. Stulz, Everett D. Reese Chair of Banking and Monetary Economics at the Ohio State University.
No member of the GARP FRM Committee, including Mr. Stulz, Mr. Apostolik, or any others, is allowed to collect royalties from this CD-ROM. Any revenues must be donated to a charitable organization or paid to GARP to fund the exam.
Financial Development Course
Financial development means some improvements in producing information about possible investments and allocating capital, monitoring firms and exerting corporate governance, trading, diversification, and management of risk, mobilization and pooling of savings, easing the exchange of goods and services.
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