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      CRISIL

      Parte da empresa S&P Global

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      Buscas relacionadas: Avaliações da empresa CRISIL | Vagas da empresa CRISIL | Salários da empresa CRISIL | Benefícios da empresa CRISIL
      Entrevistas da empresa CRISILEntrevistas do cargo de Consultant da empresa CRISILEntrevista da empresa CRISIL


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      Entrevista para Consultant

      12 de set. de 2021
      Funcionário(a) sigiloso(a)
      Bengaluru
      Oferta aceita
      Experiência positiva
      Entrevista com nível médio de dificuldade

      Candidatura

      Candidatei-me pessoalmente. O processo levou 4 dias. Fui entrevistado pela CRISIL (Bengaluru) em ago. de 2021

      Entrevista

      5 rounds of interview with all levels of people's at the organisation It was a clear transperant process Each and every round of interview was not so difficult but at the same time it was very different and unique

      Perguntas de entrevista [1]

      Pergunta 1

      On tableau and SQL and BI tools
      Responder à pergunta
      1

      Outras avaliações de entrevista de vagas de Consultant da empresa CRISIL

      Entrevista para Consultant

      24 de nov. de 2025
      Funcionário(a) sigiloso(a)
      Bombaim
      Oferta aceita
      Experiência positiva
      Entrevista com nível médio de dificuldade

      Candidatura

      Fiz uma entrevista na empresa CRISIL (Bombaim).

      Entrevista

      How would you calculate Value at Risk (VaR)? 2. What's wrong with VaR as a measurement of risk? 3. What is non-Linear VaR? How would you calculate it? 4. What is the parametric method of calculating VaR? What are its advantages? 5. What is the historical method of calculating VaR? What are its advantages? 6. Why would you calculate VaR using Monte Carlo simulations? 7. What are the challenges in calculating VaR for a mixed portfolio? 8. What's GVAR? How can you calculate it? 9. What is the one-day VaR of a $50m portfolio with a daily standard deviation of 2% at a 95% confidence level? What is the annualized VaR? 10. What do you know about extreme value theory? 11. What is Expected Shortfall? How is it calculated?

      Perguntas de entrevista [1]

      Pergunta 1

      How would you calculate Value at Risk (VaR)? 2. What's wrong with VaR as a measurement of risk? 3. What is non-Linear VaR? How would you calculate it? 4. What is the parametric method of calculating VaR? What are its advantages? 5. What is the historical method of calculating VaR? What are its advantages? 6. Why would you calculate VaR using Monte Carlo simulations? 7. What are the challenges in calculating VaR for a mixed portfolio? 8. What's GVAR? How can you calculate it? 9. What is the one-day VaR of a $50m portfolio with a daily standard deviation of 2% at a 95% confidence level? What is the annualized VaR? 10. What do you know about extreme value theory? 11. What is Expected Shortfall? How is it calculated?
      Responder à pergunta

      Entrevista para Consultant

      5 de nov. de 2020
      Candidato(a) sigiloso(a) à entrevista
      Londres, Inglaterra
      Nenhuma oferta
      Experiência negativa
      Entrevista com nível médio de dificuldade

      Candidatura

      Candidatei-me por meio de recrutador(a). Fui entrevistado pela CRISIL (Londres, Inglaterra) em set. de 2020

      Entrevista

      Two interviews back to back online. One with a manager and the other with an associate on the team I would be working with. The associate interview was a good conversation. The manager interview was a joke. The person was hard to understand, using a terrible microphone setup and was constantly being distracted by something going on in their household. Turned off their camera twice and muted themselves multiple times to talk to someone off screen while I was answering questions. Incredibly rude and distracting.

      Perguntas de entrevista [1]

      Pergunta 1

      Generic question about my background
      1 resposta

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