Financial risk manager (FRM) exam part II: market risk measurement and management
Material type: TextOriginal language: Spanish Publisher: New York ; Pearson Education ; 2016Edition: 5a edDescription: 277 pISBN: 978-1-323-32343-4Subject(s): Gestión de riesgosLOC classification: C/HD/61/GARP/2016/II-MItem type | Current location | Call number | Status | Date due | Barcode |
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Cursos | Biblioteca de la Superintendencia del Mercado de Valores - SMV | C/HD/61/GARP/2016/II-M (Browse shelf) | Available | 00008142 |
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C/HD/61/GARP/2016/I-Q Financial risk manager (FRM) exam part I: quantitative analysis | C/HD/61/GARP/2016/II-R Financial risk manager (FRM) exam part II: risk management and investment management | C/HD/61/GARP/2016/II-O Financial risk manager (FRM) exam part II: operational and integrated risk management | C/HD/61/GARP/2016/II-M Financial risk manager (FRM) exam part II: market risk measurement and management | C/HD/61/GARP/2016/II-C Financial risk manager (FRM) exam part II: credit risk measurement and management | C/HD/61/GARP/2016/I-FOU Financial risk manager (FRM) exam part I: foundations of risk management | C/HD/61/GARP/2016/I-F Financial risk manager (RM) exam part I: financial markets and products |
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