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2005 FRM core readings
By an Amazon.com customer
Financial Risk Manager Handbook (Wiley Finance)Financial Risk Manager Handbook (Wiley Finance) by Philippe Jorion
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all ch
Schaum's Outline of Probability and StatisticsSchaum's Outline of Probability and Statistics by Murray R Spiegel
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ch 1-8
Options, Futures, and Other Derivatives (5th Edition)Options, Futures, and Other Derivatives (5th Edition) by John C. Hull
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ch 2-12, 14,15,17,19
Value at Risk: The New Benchmark for Managing Financial  RiskValue at Risk: The New Benchmark for Managing Financial Risk by Philippe Jorion
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ch 5,6,8,9,11,12,14,15
Financial Institutions Management+Standard & Poor's Educational Version of Market Insight+Ethics in Finance PowerwebFinancial Institutions Management+Standard & Poor's Educational Version of Market Insight+Ethics in Finance Powerweb by Anthony Saunders
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ch 10-12,14-16,27
Risk Budgeting: Portfolio Problem Solving with Value-at-Risk (Wiley Finance)Risk Budgeting: Portfolio Problem Solving with Value-at-Risk (Wiley Finance) by Neil D. Pearson
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ch 2,5,7,9,10-13,16,18,19
Risk Management and DerivativesRisk Management and Derivatives by René M. Stulz
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ch 2,3,4,8,15,18
Fixed Income Securities: Tools for Today's Markets, Second EditionFixed Income Securities: Tools for Today's Markets, Second Edition by Bruce Tuckman
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ch 1-7,9,21
Managing Credit Risk: The Next Great Financial Challenge (Frontiers in Finance Series)Managing Credit Risk: The Next Great Financial Challenge (Frontiers in Finance Series) by John B. Caouette
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ch 6,7,11,15-21,23
Understanding Market, Credit, and Operational Risk: The Value at Risk ApproachUnderstanding Market, Credit, and Operational Risk: The Value at Risk Approach by Linda Allen
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ch 5
Risk Management and Capital AdequacyRisk Management and Capital Adequacy by Reto Gallati
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ch 6
Managing Operational Risk: 20 Firmwide Best Practice StrategiessManaging Operational Risk: 20 Firmwide Best Practice Strategiess by Douglas G. Hoffman
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ch 3,9,11,12,16
Risk ManagementRisk Management by Michel Crouhy
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ch 14
Risk Budgeting: A New Approach to InvestingRisk Budgeting: A New Approach to Investing by Capital Market Risk Advisors
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ch 3,6,7,11
Portfolio Theory and Performance Analysis (The Wiley Finance Series)Portfolio Theory and Performance Analysis (The Wiley Finance Series) by Noel Amenc
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ch 4 (pp 95-102,108-116), 6,8
The New Generation of Risk Management for Hedge Funds and Private Equity InvestmentsThe New Generation of Risk Management for Hedge Funds and Private Equity Investments by Lars Jaeger
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2003 ed, ch 6,27
Managing Hedge Fund Risk: From the Seat of the Practitioner: Views From Investors, Counterparties, Hedge Funds and ConsultantsManaging Hedge Fund Risk: From the Seat of the Practitioner: Views From Investors, Counterparties, Hedge Funds and Consultants
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2003 ed, pp299-360,377-452