Probability in Finance is a tool for modeling financial markets, covering their risks and returns. W
Financial Risk Manager Level I Value-at-Risk mainly consists of three parts - Calculating Simple VaR
GARP www.garp.com, FRM Exam is to be held on November 20, 2010. The registeration for the exam is st
At a recent informal meet in Canada, Finance ministers from the world’s top seven i
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Hope the Europeans and Asians take the cue and initiate an earnest effort in this direction before i
With the world economy on path of recovery, banks around the world are starting to wrap-up emergency
The Key to Effective Project Risk Management Effective project risk management is very significant
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Chinese banking regulators received a top award from Global Association of Risk Professionals (GARP)
There has been much furore in financial sphere over the recent revelation of misleading accounting t
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