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FRM一级:估值与风险模型
12 - Study Guide Changes and Introduction
12-1 Interest rates(1)
12-2 Interest rates(2)
12-3 Return decomposition(1)
12-4 Return decomposition(2)
12-5 Option Valuation
12-6 Market risk
12-7 Rating and rating agencies
12-8 Conditional and unconditional probability &Hazard rate(1)
12-9 Conditional and unconditional probability &Hazard rate(2)
12-10 Conditional and unconditional probability &Hazard rate(3)
12-11 EL and UL(1)
12-12 EL and UL(2)
12-13 EL and UL(3)
12-14 Measuring Credit risk(1)
12-15 Measuring Credit risk(2)
12-16 Operational risk
12-17 Stress testing