I just hoped :( i just read 30 pages of this chapter and i found the operational topics so repetitive
btw thank you for your help
p.s. if anyone has some advise about the method to study it i will appreciate a lot!
hello ! a quick question about the structure !
there are some topic sections that "study note" download available, other that have "study note: coming soon!"; then, there are topics that have "question set" and other that doesn't have it.
Regarding the latter point is that mean that question is...
first of all thank you for your work.
I write down here, as a comment, because maybe there are other with my same issues.
As first impact I have to say that the new interface is more tough to manage (eg. i cannot open the liquidity sector without mark as complete the lesson before)...
Regarding the Operational section, in 2019 the chapter <15 Model Risk> (id 58.1) extract from the <The essential of Risk management> by Crouhy, Galai and Mark has been written in red BUT in 2019 there is the empty cell with the book reference.
Could you please confirm that the topic has...
reading your spreadsheet, could you please confirm me that the 3th chapter (capital structure in banks) of Credit Risk (level 2) has been moved from level1 exam? is it exactly the same?