好像楼上的还是没有很清楚地回答对应的章节哦,我认为根据garp的官方说法,
Foundations of Risk Management
Quantitative Analysis
Financial Markets and Products
Risk Modeling
以上是一级的,以下是2级的
Market risk measurement and management
Credit risk measurement and management
Operational and integrated risk measurement and management
Risk management and investment management
Current issues in financial markets
所以,比较明确的是,对应handbook的应该是第一、二部分,不过风险建模我不知道对应的部分,看来还是需要看Notes