1# lybljly
GARP网站上给的 PART I 的考试范围是这样的:
1. 20% Quantitive Analysis
2. 20% Foundations of Risk Management
3. 30% Financial Markets and Products
4. 30% Valuation and Risk Models
对应地,我觉得大概需要看以下章节:
1. C1 \ C2 \ C3 \ C4
2. C10 \ C11 \ C16 \ C18 \ C19
3. C5 \ C6 \ C7 \ C8 \ C9
4. C12 \ C13 \ C14 \ C15
很不成熟的观点,欢迎指正。