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This text explores the current state of the art in quantitative investment management across seven key areas. Chapters by academics and practitioners working in leading investment management organizations bring together major theoretical and practical aspects of the field.
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GARP's Foundations of Financial Risk creates a comprehensive understanding of financial risk and the regulatory environment under which institutions operate. It focuses on core financial risks: market, credit, and operational--and how international regulation, including the Basel Accords, affect...
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in the theory and practice of credit derivatives. Takes into account the new products and risk requirements of a post … in the theory and practice of credit derivatives. Takes into account the new products and risk requirements of a post …
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