Risk Management Applications of Swap Strategies PoorSatisfactoryGoodVery GoodExcellent Be the first. (0 ratings) Log in to rate this Ch. 8, Analysis of Derivatives for the CFA® Program, Don Chance, CFA (AIMR, 2003) Read Topics Derivatives | Risk Management People who viewed this page also viewed: Liability Driven Investing: Managing Volatility within a Customized Framework In this archived webcast from Pensions and Investments, experienced investment professionals lead an interactive discussion of Liability ... More MarketPsych: How to Manage Fear and Build Your Investor Identity This practitioner-oriented book takes the subject of behavioral finance from the quaint and theoretical to the powerful and practical. ... More Liquidity's Lessons: Interpreting the Relationship between CDS and Bond Markets This webcast from Fitch Solutions provides an overview of and discusses issues affecting the CDS market. More Loading ...