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  1. M

    Employment verification question

    Has anyone actually received the certification by mail? I got certified 2 weeks before their Sept 30 mailing window and my mailing address is within the US. So far I've got nothing. I wonder how long it usually takes?
  2. M

    Employment verification question

    GOT IT!! Thank you Suzanne and folks!
  3. M

    Employment verification question

    Thanks Hugo. I thought you submitted 7/18, which was even 8 days after me.
  4. M

    Employment verification question

    Thank you Suzanne. I emailed you the info yesterday afternoon. Will be great if you can check it out for me.
  5. M

    Employment verification question

    I submitted on July 10 and haven't heard back anything. I called GARP last week and was told they haven't reviewed it, but it should come as soon as Sept 22, since they need to finalize the application and mail out the certification. GARP is taking REALLY LONG time to work on our work experience.
  6. M

    2013 version of T9 study guide

    And what about T9 practice exams? The old ones seem irrelevant
  7. M

    2013 version of T9 study guide

    Thanks. Any mock exams for 2013 to expect?
  8. M

    2013 version of T9 study guide

    David, saw you posted 4 T5 practice problems. Would you pls let me know how many more practice problems in each topic as well as mock exams will be added? Seeing updated practice problems is great, but seeing it in the last week stressed me out completely. Thanks
  9. 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
  10. M

    Basel II capital charge-Study Notes pg 128

    Hi David, I'm lost in the ways 3 tiers of capital should be alloated to credit/market/operational risks. Under min. capital req'd column: 1. For credit risk: why only $300 from Tier 1 to be allocated? We have another $600; 2. For market risk: why only $100 from Tier 1 to be allocated, why...
  11. 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
  12. 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
  13. M

    Passed Part 1

    Didn't do too well - 1, 3, 1, 2, but I passed. Feel awesome. Thank you David and Suzanne for your helps to make this great thing happen. Already registered level 2, and BT materials is definitely a must to have.
  14. 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
  15. M

    practice problems-Nonstandard CAPM and APT

    In addition, Q64.3, should we choose A, because the curse of dimensionality is an disadvantage for covariance, not APT?
  16. 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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