This thread is to give our members a quick reference to the new and updated Part 2 materials that we publish throughout the 2021 exam period. We will include the date that the materials were updated or published so you know that you are using the most up-to-date materials. To follow this thread, click on "Watch" in the upper right corner of the page.
Please make sure to read our publishing process thread here regarding if and when specific materials will be published: https://forum.bionicturtle.com/threads/please-read-publishing-process-for-2021.23610/. Thank you
Market Risk Measurement & Management
Reading 4 - Meissner
Credit Risk Measurement & Management
Reading 10/CR-4: DeLaurentis Chapter 3 Ratings Assignment Methodologies
Operational & Integrated Risk Management
Reading 27/ORR-10: De Laurentis, Chapter 5: Validating Rating Models
Liquidity & Treasury Risk
Reading 44/LTR-1: John C. Hull, Risk Management and Financial Institutions, Chapter 24. Liquidity Risk
Risk Management & Investment Management
Reading 61: Andrew Ang, Asset Management, Chapters 6, 7 & 10
Current Issues
Reading 69 Andreas Schrimpf, “Beyond LIBOR"
Please make sure to read our publishing process thread here regarding if and when specific materials will be published: https://forum.bionicturtle.com/threads/please-read-publishing-process-for-2021.23610/. Thank you
Market Risk Measurement & Management
Reading 4 - Meissner
- Practice question set updated 04/21/21 to v7-4 to fix typo in question 505.3 (option C) and to fix spreadsheet link.
Credit Risk Measurement & Management
Reading 10/CR-4: DeLaurentis Chapter 3 Ratings Assignment Methodologies
- Study Notes updated 08/18/21 to v7
- Study Notes updated 01/28/21 to v13.1 (only to update chapter titles to correspond with the new edition. New content will be published soon)
- Study Notes updated with new content 08/27/21 as v15
- Study Notes updated 08/20/21 to v3
Operational & Integrated Risk Management
Reading 27/ORR-10: De Laurentis, Chapter 5: Validating Rating Models
- Study Notes updated 08/20/21 to v7
- Practice Question Set updated 02/03/21 to v7-4 to remove the optional appendix PQs (these PQs have been moved to the Liquidity Risk topic, Reading 45)
- Study Notes published as v11 on 08/25/21
- Study Notes updated 08/23/21 to v5
- Practice Question Set updated 02/01/21 to v3-3 to add missing answers to 20.10
Liquidity & Treasury Risk
Reading 44/LTR-1: John C. Hull, Risk Management and Financial Institutions, Chapter 24. Liquidity Risk
- Practice Question Set updated 02/04/21 to v1-4 to fix typos in questions 20.1.2 (page 4) and 20.2.2 (page 6)
- Practice Question Set updated 02/05/21 to v1-2 to fix forum link
Risk Management & Investment Management
Reading 61: Andrew Ang, Asset Management, Chapters 6, 7 & 10
- Practice Question Set updated 04/23/21 to v7 to add new practice questions
- New Practice Question Set published 05/6/21
- Updated practice question set to v9 to add new PQs 06/04/21
- Updated practice question set to v9 to add new PQs 06/17/21
- Study Notes published 09/30/21 to v9
Current Issues
Reading 69 Andreas Schrimpf, “Beyond LIBOR"
- Study Notes published 09/22/21
- Study Notes published 08/31/21
- Study Notes published 08/31/21
- Study Notes published 09/02/21
- Study Notes published 09/02/21
- Study Notes published 09/22/21
- Study Notes published 09/22/21
- Study Notes published 09/22/21
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