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Publisher: GARP FRM.Publication Year: 2011.Language: English.Topics Covered:2010 FRM Practice Exam Part I (Foundation of Risk Management, Quantitative Analysis, Financial Markets and Products, Valuation and Risk Models) & Part II (Market Risk Measurement and Management, Credit Risk Measurement and Management, Operational and Integrated Risk Management, Risk Management and Investment Management, Current Issues in Financial Markets).Reading Abstract:The FRM Exam is a practice-oriented examination. Its questions are derived from a combination of theory, as set forth in the core readings, and "real-world" work experience. Candidates are expected to understand risk management concepts and approaches and how they would apply to a risk manager`s day-to-day activities. The FRM Examination is also a comprehensive examination, testing a risk professional on a number of risk management concepts and approaches. It is very rare that a risk manager will be faced with an issue that can immediately be slotted into one category. In the real world, a risk manager must be able to identify any number of risk-related issues and be able to deal with them effectively.Reading Contents:1 Introduction.2 2010 FRM Practice Exam Part I: Candidate Answer Sheet.3 2010 FRM Practice Exam Part I: Questions.4 2010 FRM Practice Exam Part I : Correct Answer Sheet.5 2010 FRM Practice Exam Part I: Answers and Explanations.6 2010 FRM Practice Exam Part II: Candidate Answer Sheet.7 2010 FRM Practice Exam Part II: Questions.8 2010 FRM Practice Exam Part II: Correct Answer Sheet.9 2010 FRM Practice Exam Part II: Answers and Explanations.
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