Need around 200 words answers for each question:
Question 1) Why banks are critical institutions especially from Risk Management perspective
Question 2) What are the profitability landscape for banks after Lehman crisis, from Risk Management perspective
Question 3) What are the key differences between Forwards (OTC derivatives) and Futures (Exchanged Traded Derivatives), again.... from Risk Management perspective
Question 4) What are the key objectives of new regulations for derivatives
Question 5) What are the Key functions in Global Market Value Chain, from Market Risk perspective
Question 6) What are the Evolution in metrics for Market Risk?
Question 7) What are the Risk mitigations for Counterparty Credit risk.
Question 8) Differences between Market liquidity Risk versus Funding Liquidity Risk.
Question 9) What are the root causes for liquidity problems in financial institutions during the financial crisis.