How Do Firms Manage Financial Risk? (FRM Part 1 2025 - Book 1 - Chapter 2)

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  • Опубліковано 15 гру 2024

КОМЕНТАРІ • 9

  • @sus_sus00
    @sus_sus00 Рік тому +1

    Thank you for the lecture :)
    Very helpful!

  • @valeriofulgheri3758
    @valeriofulgheri3758 Рік тому +1

    I like a lot how you explain these concepts, thank you very much

    • @analystprep
      @analystprep  Рік тому

      Glad you like them! If you like our video lessons, it would be appreciated if you could leave us a review at www.trustpilot.com/review/analystprep.com

  • @Sima-lx3wm
    @Sima-lx3wm Рік тому +1

    Thank you so much

    • @analystprep
      @analystprep  Рік тому

      You're most welcome! If you like our video lessons, it would be appreciated if you could leave us a review at www.trustpilot.com/review/analystprep.com

  • @matthewrice7590
    @matthewrice7590 Рік тому +2

    I'm two videos in on this series and I keep hearing references to what I assume is a corresponding textbook, but I don't see any titles or links in the video's description. Does anyone know the name(s) of the book(s) being referred to in this series?

    • @analystprep
      @analystprep  Рік тому +1

      Those would be the official GARP FRM Books that you get when registering for the FRM Part I exam.

    • @matthewrice7590
      @matthewrice7590 Рік тому +1

      @@analystprep thank you! I’m an engineer working in the finance industry and found these videos after looking for informational deep dives on credit ratings and risk, so I wasn’t really aware of the corresponding exam other than what was mentioned in the video. I appreciate the response!

  • @adelitadiouf5200
    @adelitadiouf5200 Рік тому +1

    😊Ô
    O
    Oo