10% Foundations of Risk Management
2nd
10% QuantitativeAnalysis
1st
15% Financial Markets and Products
1st
15% Valuation and RiskModels 1st
10% Market Risk Measurement and Management
1st
10% Credit Risk Measurement andManagement
2nd
10% Operational and Integrated RiskManagement
1st
10% Risk Management and InvestmentManagement
3rd
10% Current Issues in FinancialMarkets 4th
对着成绩来说:
Current Issues 最差,可以说是意料之外、情理之中,一来我完全没准备过,也没时间准备;二来,可能就是这一部分的RP太烂。虽然说没特别准备过,但本人也不算对热门话题一窍不通啊,郁闷。
Risk Management and Investment Management,3rd,说实话,比较意外,我以为相对简单,花的时间也较少,一直觉得怎么也会有2nd,估计是太轻敌了,几乎没练过题,结果死得很惨!不过这一块,有一定实操性,感觉主要是跟基金管理相关的。
Operational and Integrated Risk Management,出乎意料的高,由于没相关工作经验,且没看过Basel,我个人对Operation几乎是不抱什么希望的,觉得应该是2nd or 3rd,但复习的时候却花了很多时间,因为觉得特别薄弱,所以比较认真对待,但还是觉得运气成分也可能比较重要。
Foundations of Risk Management,2nd,我个人是不太满意的,因为对这一块,我还是比较有自信的,练题时的感觉来说,基本上都是全对的,这样的结果说明我对基础的掌握还是不太扎实。
Credit Risk Measurement and Management,练题时的感觉还是不错的,虽然不像Quantity和Market那么有把握,但在考场上还是在定性的题目上遇到了些障碍,所以,2nd也能接受。