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渠道一
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26金融
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26年FRM二级英文长线班
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4.强化班
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5.Market Risk Measurement and Management
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1.Measuring Market Risk .sz
2.Validating the VaR Model .sz
3.VaR Mappin .sz
4. Financial Correlation Risk .sz
5.Empirical Approaches to Hedging .sz
6. Term Structure Models .sz
7.Volatility Smiles .sz
8.Fundamental Review of Trading Book .sz
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