1 |
风险管理基础 |
Foundations of Risk Management |
2 |
金融市场与金融产品 |
Quantitative Analysis |
3 |
数量分析 |
Financial Markets and Products |
4 |
估值与风险建模 |
Valuation and Risk Models |
5 |
市场风险管理与测量 |
Market Risk Measurment and Management |
6 |
信用风险管理与测量 |
Credit Risk Measurement and Management |
7 |
操作及综合风险管理 |
Operational and Integerated Risk Management |
8 |
投资风险管理 |
Risk Management and Investment Management |
9 |
金融市场前沿话题 |
Current Issues in Financial Markets |
2020年四川师范大学CFAFRM实验班CFA®&FRM®持证者的薪酬水平(数据来源于CFA®协会和GARP协会)类似问题答案