Wiley Study Guide for 2021 Part II FRM Exam: Complete Set

Wiley Study Guide for 2021 Part II FRM Exam: Complete Set

Author: Wiley

Publisher: Wiley

Published: 2021-02-24

Total Pages:

ISBN-13: 9781119800347

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Discover the comprehensive study guide set designed to help you crush Part II of the FRM® Exam. Wiley’s 2021 FRM® Part II Study Guide Set is the essential, easy-to-understand tool to help you pass the FRM® Exam with confidence. Created by FRM® subject matter experts, this three-volume set has been updated for 2021 to reflect all you need for success on exam day. This study guide set includes: Volume 1: Market Risk Measurement and Management, Credit Risk Measurement and Management Volume 2: Operational Risk and Resiliency, Liquidity and Treasury Risk Measurement and Management Volume 3: Risk Management and Investment, Current Issues in Financial Markets Each volume mirrors a main section on the exam and aligns with the official GARP curriculum to ensure you master the full syllabus for Part II. The content also maps perfectly to our FRM® Self-Study courseware, so you can practice the material seamlessly with our proven active learning and study tools. Wiley has helped thousands of candidates across the globe prepare to pass the FRM® Exam. Begin your study journey today with a print or eBook version of our latest Part II Study Guide Set!


Wiley Study Guide for 2021 Part I FRM Exam

Wiley Study Guide for 2021 Part I FRM Exam

Author: Wiley

Publisher: Wiley

Published: 2021-02-09

Total Pages:

ISBN-13: 9781119800354

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Discover the comprehensive study guide set designed to help you crush Part I of the FRM® Exam. Wiley’s 2021 FRM® Part I Study Guide Set is the essential, easy-to-understand tool to help you pass the FRM® Exam with confidence. Created by FRM® subject matter experts, this four-volume set has been updated for 2021 to reflect all you need for success on exam day. This study guide set includes: Volume 1: Foundations of Risk Management Volume 2: Quantitative Analysis Volume 3: Financial Markets and Products Volume 4: Valuation and Risk Models Each volume mirrors a main section on the exam and aligns with the official GARP curriculum to ensure you master the full syllabus for Part I. The content also maps perfectly to our FRM® Self-Study courseware, so you can practice the material seamlessly with our proven active learning and study tools. Wiley has helped thousands of candidates across the globe prepare to pass the FRM® Exam. Begin your study journey today with a print or eBook version of our latest Part I Study Guide Set!


Financial Risk Manager Handbook

Financial Risk Manager Handbook

Author: Philippe Jorion

Publisher: John Wiley & Sons

Published: 2007-06-15

Total Pages: 738

ISBN-13: 0470176563

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An essential guide to financial risk management and the only way to get a great overview of the subjects covered in the GARP FRM Exam The Financial Risk Management Exam (FRM Exam) is given by the Global Association of Risk Professionals (GARP) annually in November for risk professionals who want to earn FRM(r) certification. The Financial Risk Manager Handbook, Fourth Edition is the definitive guide for those preparing to take the FRM Exam as well as a valued working reference for risk professionals. Written with the full support of GARP, and containing questions and solutions from previous exams, this book is a valuable resource for professionals responsible for or associated with financial risk management.


2021 FRM Exam Part 1

2021 FRM Exam Part 1

Author: Sprint Key Prep

Publisher:

Published: 2021-02-16

Total Pages: 164

ISBN-13:

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Thank you for Trusting Sprint Key Prep to help you reach your goals. FRM(R) Part I Syllabus is divided in 60 Readings based on which student is tested in exams. Our Study Notes are aligned with the curriculum and present the concepts in an easily understandable manner. The most important points of each section of the curriculum are highlighted and explained. Reading the notes helps to reinforce your understanding and grasping of concepts. Presented in 4 Paperback Books Book 1: Foundations of Risk Management Book 2: Quantitative Analysis Book 3: Financial Markets and Products Book 4: Valuation and Risk Models We will recommend you using all books for complete understanding. Wishing you all the very best for each and every one of your future endeavors. Sprint Key Prep


March's Advanced Organic Chemistry

March's Advanced Organic Chemistry

Author: Michael B. Smith

Publisher: John Wiley & Sons

Published: 2007-01-29

Total Pages: 2379

ISBN-13: 0470084944

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The Sixth Edition of a classic in organic chemistry continues its tradition of excellence Now in its sixth edition, March's Advanced Organic Chemistry remains the gold standard in organic chemistry. Throughout its six editions, students and chemists from around the world have relied on it as an essential resource for planning and executing synthetic reactions. The Sixth Edition brings the text completely current with the most recent organic reactions. In addition, the references have been updated to enable readers to find the latest primary and review literature with ease. New features include: More than 25,000 references to the literature to facilitate further research Revised mechanisms, where required, that explain concepts in clear modern terms Revisions and updates to each chapter to bring them all fully up to date with the latest reactions and discoveries A revised Appendix B to facilitate correlating chapter sections with synthetic transformations


Valuation

Valuation

Author: Tim Koller

Publisher: John Wiley & Sons

Published: 2020-05-21

Total Pages: 960

ISBN-13: 1119611881

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McKinsey & Company's bestselling guide to teaching corporate valuation - the fully updated seventh edition Valuation: Measuring and Managing the Value of Companies, University Edition is filled with the expert guidance from McKinsey & Company that students and professors have come to rely on for over nearly three decades. Now in its seventh edition, this acclaimed volume continues to help financial professionals and students around the world gain a deep understanding of valuation and help their companies create, manage, and maximize economic value for their shareholders. This latest edition has been carefully revised and updated throughout, and includes new insights on topics such as digital, ESG (environmental, social and governance), and long-term investing, as well as fresh case studies. For thirty years, Valuation has remained true to its basic principles and continues to offer a step-by-step approach to teaching valuation fundamentals, including: Analyzing historical performance Forecasting performance Estimating the cost of capital Interpreting the results of a valuation in context Linking a company's valuation multiples to core performance drivers The University Edition contains end-of-chapter review questions to help students master key concepts from the book. Wiley also offers an Online Instructor's Manual with a full suite of learning resources to complement valuation classroom instruction.


Healing with Poisons

Healing with Poisons

Author: Yan Liu

Publisher: University of Washington Press

Published: 2021-06-22

Total Pages: 278

ISBN-13: 0295749016

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Open access edition: DOI 10.6069/9780295749013 At first glance, medicine and poison might seem to be opposites. But in China’s formative era of pharmacy (200–800 CE), poisons were strategically employed as healing agents to cure everything from abdominal pain to epidemic disease. Healing with Poisons explores the ways physicians, religious figures, court officials, and laypersons used toxic substances to both relieve acute illnesses and enhance life. It illustrates how the Chinese concept of du—a word carrying a core meaning of “potency”—led practitioners to devise a variety of methods to transform dangerous poisons into effective medicines. Recounting scandals and controversies involving poisons from the Era of Division to the Tang, historian Yan Liu considers how the concept of du was central to how the people of medieval China perceived both their bodies and the body politic. He also examines the wide range of toxic minerals, plants, and animal products used in classical Chinese pharmacy, including everything from the herb aconite to the popular recreational drug Five-Stone Powder. By recovering alternative modes of understanding wellness and the body’s interaction with foreign substances, this study cautions against arbitrary classifications and exemplifies the importance of paying attention to the technical, political, and cultural conditions in which substances become truly meaningful. Healing with Poisons is freely available in an open access edition thanks to TOME (Toward an Open Monograph Ecosystem) and the generous support of the University of Buffalo.


Econometric Analysis of Cross Section and Panel Data, second edition

Econometric Analysis of Cross Section and Panel Data, second edition

Author: Jeffrey M. Wooldridge

Publisher: MIT Press

Published: 2010-10-01

Total Pages: 1095

ISBN-13: 0262232588

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The second edition of a comprehensive state-of-the-art graduate level text on microeconometric methods, substantially revised and updated. The second edition of this acclaimed graduate text provides a unified treatment of two methods used in contemporary econometric research, cross section and data panel methods. By focusing on assumptions that can be given behavioral content, the book maintains an appropriate level of rigor while emphasizing intuitive thinking. The analysis covers both linear and nonlinear models, including models with dynamics and/or individual heterogeneity. In addition to general estimation frameworks (particular methods of moments and maximum likelihood), specific linear and nonlinear methods are covered in detail, including probit and logit models and their multivariate, Tobit models, models for count data, censored and missing data schemes, causal (or treatment) effects, and duration analysis. Econometric Analysis of Cross Section and Panel Data was the first graduate econometrics text to focus on microeconomic data structures, allowing assumptions to be separated into population and sampling assumptions. This second edition has been substantially updated and revised. Improvements include a broader class of models for missing data problems; more detailed treatment of cluster problems, an important topic for empirical researchers; expanded discussion of "generalized instrumental variables" (GIV) estimation; new coverage (based on the author's own recent research) of inverse probability weighting; a more complete framework for estimating treatment effects with panel data, and a firmly established link between econometric approaches to nonlinear panel data and the "generalized estimating equation" literature popular in statistics and other fields. New attention is given to explaining when particular econometric methods can be applied; the goal is not only to tell readers what does work, but why certain "obvious" procedures do not. The numerous included exercises, both theoretical and computer-based, allow the reader to extend methods covered in the text and discover new insights.


Biochar for Environmental Management

Biochar for Environmental Management

Author: Dr. Johannes Lehmann

Publisher: Earthscan

Published: 2009

Total Pages: 449

ISBN-13: 1849770557

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"Biochar is the carbon-rich product when biomass (such as wood, manure, or crop residues) is heated in a closed container with little or no available air. It can be used to improve agriculture and the environment in several ways, and its stability in soil and superior nutrient-retention properties make it an ideal soil amendment to increase crop yields. In addition to this, biochar sequestration, in combination with sustainable biomass production, can be carbon-negative and therefore used to actively remove carbon dioxide from the atmosphere, with major implications for mitigation of climate change. Biochar production can also be combined with bioenergy production through the use of the gases that are given off in the pyrolysis process.This book is the first to synthesize the expanding research literature on this topic. The book's interdisciplinary approach, which covers engineering, environmental sciences, agricultural sciences, economics and policy, is a vital tool at this stage of biochar technology development. This comprehensive overview of current knowledge will be of interest to advanced students, researchers and professionals in a wide range of disciplines"--Provided by publisher.


2022 CFA Program Curriculum Level I Box Set

2022 CFA Program Curriculum Level I Box Set

Author: CFA Institute

Publisher: John Wiley & Sons

Published: 2021-05-04

Total Pages:

ISBN-13: 1119705053

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Prepare for success on the 2022 CFA Level I exam with the latest official CFA® Program Curriculum. The 2022 CFA Program Curriculum Level I Box Set contains all the material you need to succeed on the Level I CFA exam in 2022. This set includes the full official curriculum for Level I and is part of the larger CFA Candidate Body of Knowledge (CBOK). Highly visual and intuitively organized, this box set allows you to: Learn from financial thought leaders. Access market-relevant instruction. Gain critical knowledge and skills. The set also includes practice questions to assist with your recall of key terms, concepts, and formulas. Perfect for anyone preparing for the 2022 Level I CFA exam, the 2022 CFA Program Curriculum Level I Box Set is a must-have resource for those seeking the foundational skills required to become a Chartered Financial Analyst®.