This class was created by Brainscape user Denis Zh., CFA FRM. Visit their profile to learn more about the creator.

Decks in this class (25)

Topics 1-2
1. Estimating Market Risk Measures: An Introduction and Overview 2. Non-parametric Approaches
25  cards
Topics 3-5
Backtesting VaR VaR Mapping Messages from the Academic Literature on Risk Measurement for the Trading Book
25  cards
Topics 6-9
Some Correlation Basics: Properties, Motivation, Terminology Empirical Properties of Correlation: How Do Correlations Behave in the Real World? Statistical Correlation Models—Can We Apply Them to Finance? Financial Correlation Modeling—Bottom-Up Approaches
28  cards
Topics 10-12
Explain the drawbacks to using a ...,
Describe a regression hedge and e...,
Calculate the regression hedge ad...
17  cards
Topics 13-15
Term structure model with no drif...,
Calculate the short term rate cha...,
Describe methods for addressing t...
30  cards
Topics 16-18
The four primary components of cr...,
Three issues regarding risk mitig...,
The qualitative credit analysis t...
23  cards
Topics 19-20
Three features of a good rating s...,
Key measures used to assess the r...,
Conditional forward pd
41  cards
Topics 21-23
Compare the different ways of rep...,
Define and compute the spread 01,
Explain how default risk for a si...
34  cards
Topics 24-26
Describe counterparty risk and di...,
Repos reverse repos haircut,
Counterparty risk of foreign exch...
26  cards
Topics 27-30
Describe and calculate the follow...,
Describe and calculate the follow...,
Compare the characterization of c...
38  cards
Topics 31-34
Describe wrong way risk and contr...,
Identify examples of wrong way ri...,
Discuss the impact of wrong way r...
31  cards
Topics 35-36
Define securitization describe th...,
Explain the terms over collateral...,
Analyze the differences in the me...
21  cards
Topics 37-39
Describe the three lines of defen...,
Corporate operational riskfunctio...,
Summarize the fundamental princip...
26  cards
Topics 40-42
Poor data quality,
Identify the most common issues t...,
Explain how a firm can set expect...
23  cards
Topics 43-45
Define the basic indicator approa...,
Basic indicator approach,
The standardized approach
27  cards
Topics 46-48
Explain the process of model vali...,
Describe best practices for the r...,
Elements of qualitative validation
23  cards
Topics 49-50
Properties of a coherent risk mea...,
Within the economic capital imple...,
Within the economic capital imple...
31  cards
Topics 51-54
Repo vs reverse repo,
Explain common motivations for en...,
Explain how counterparty risk and...
34  cards
Topics 55-58
Describe the major lines of busin...,
Identify situations that can caus...,
Describe policy measures that can...
29  cards
Topics 59-61
Describe and calculate the stress...,
Explain the process of calculatin...,
Describe the comprehensive risk m...
16  cards
Topics 62-64
Provide examples of factors that ...,
Describe the capital asset pricin...,
Implications of using the capm
25  cards
Topics 65-68
Evaluate the characteristics of i...,
Examine the relationship between ...,
Assess the impact of biases on re...
32  cards
Topics 69-71
Define compare and contrast var a...,
Describe risk planning including ...,
Describe risk budgeting and the r...
34  cards
Topics 72-79
Identify reasons for the failures...,
Explain elements of the due dilig...,
Identify themes and questions inv...
39  cards
Revision
Holding an asset and a put on the...,
Covered call,
Bull spreads
27  cards

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FRM Part 2

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