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The top documents of global-association-of-risk-professionals-garp
Top Regulatory Trends for 2016 in Banking
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Reducing Bias Problems When Estimating Cost of Capital in Company Valuations
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Model Risk Management Framework and Quantification: Perspectives on Potential Approaches
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Balance sheet management at retail banks
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Balancing the pension fund balance sheets
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IFRS 9 - Impairments, Time to Get Ready for The New Standard
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The Marriage of Credit Risk and IFRS9
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IFRS9 Implications and Challenges
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Operating in the New Normal: Increased Regulation and Heightened Expectations
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Liquidity Risk Management in Mutual Funds
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Buy Side Risk Management Principles
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The Price is Right? Strategies for Market Discovery & Optimum Pricing Challenges
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Data Science for Risk Managers and Trading Professionals
389 views
Building A Framework For Effective Third-Party Risk Management (TPRM)
593 views
Liquidity Assessment In An Uncertain Market
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Expected Loss Over Lifetime
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The Causes of Financial Crises: What We Know and What We Can Do About It
107 views
How Smart Contracts Can Revolutionize Risk Management
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Managing the Emerging Foreign Exchange Risks Across all Sectors
119 views
FinTech: The Journey and the Hurdles
187 views
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