This study pack contains the following articles:
Is Advanced Credit Risk Management Worth the Plunge?, Lang, William; Nayda, William, The RMA Journal, v90n8, 35– 41, 7 pages, May 2008.
Regulatory Capital, Models, and Holistic Balance Sheet Management, Rowe, David M.; Day, Thomas, The RMA Journal, v90n5, 51– 54, 4 pages, Feb. 2008.
10 Steps to Take Now for Basel II and IA, Crowe, Kevin, The RMA Journal, v89n7, 92– 96, 5 pages,, Apr. 2007.
Stressed LGDs in Capital Analysis, Wilhite, Gary, The RMA Journal, v89n2, 56– 61, 6 pages, Oct. 2006.
Basel II and Capital Management, Martin, Pamela, The RMA Journal, v86n6, 62– 63, 2 pages, Mar. 2004.
A Global Capital Management Framework for Regions and Localities, Rauleder, Rainer; Hockey, Therese McCarthy, The RMA Journal, v86n6, 27– 31, 5 pages, Mar. 2004.
On Economic Capital and Capital Management, Guill, Gene D., The RMA Journal, v86n6, 18– 19, 2 pages, Mar. 2004.
Optimizing the Allocation of Capital, Smithson, Charles; Hayt, Gregory, The RMA Journal, v83n10, 67– 72, 6 pages, July/Aug. 2001.
Market Disclosure Will Create Greater Risk Discipline: But Creating Common Risk Definitions Remains a Hurdle, Beans, Kathleen M., The RMA Journal, v83n10, 56– 58, 3 pages, July/Aug. 2001.
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