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  1. M

    2013 version of T9 study guide

    Hi David Will there be a new study guide for "Current Issues"? Or this topic is no longer required in May exam? Thanks Michelle
  2. M

    CVA

    David, Study Notes of Credit Risk - Q39.7.1 on pg 183. If adjusted mid-market value to B is +11 million, shouldn't adjusted mid-market value to A is -11 million? The solution on page 187 reads 9 million. Thanks, Michelle
  3. M

    level 2 in 2012, may vs. nov

    Hi David, Will most study materials for level 2 - Novemeber exam be the same as those for May? I guess you will update the problem sets as time goes, but study notes/video/learning spreadsheet should cover the same content, right? Thanks Mish
  4. M

    Debt Overhang

    Hi David, I was reading the example on page 22 from Study Notes-T1-Foundations. Would you please tell me how to get 23.571 for Diluted Equity? Thanks Mish
  5. M

    practice problems-Nonstandard CAPM and APT

    Hi David, In Q63.2, looks like we can use factor sensitivities (betas) as weights to calculate the portfolio volatility? Why is that? Thanks Mish
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