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R. Venter | Akateeminen Kirjakauppa

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Advanced Financial Risk Management, Second Edition - Tools & Techniques for Integrated Credit Risk and Interest Rate Risk Manage
Donald R. van Deventer; Kenji Imai; Mark Mesler
John Wiley & Sons Inc (2013)
Kovakantinen kirja
125,70
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ostoskoriin kpl
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Manuale Operatien, zynde een Nieuw Ligt voor Vroed-meesters en Vroed-vrouwen, 1701/1746 (2 Vols.) - Facsimile en Commentaar
Hendrik Deventer; R.W. Bakker; M.A.C. Lubsen-Brandsma; A.Th.M. Verhoeven
Hes & de Graaf Publishers bv (2001)
Kovakantinen kirja
239,30
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Entrepreneurship - Theory in Practice
J. Marks; Henry Rwigema; B. Urban; R. Venter
OUP Southern Africa (2009)
Pehmeäkantinen kirja
36,20
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ostoskoriin kpl
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Advanced Financial Risk Management
Donald R. Van Deventer; Mark Mesler; Kenji Imai
John Wiley & Sons (2004)
Kovakantinen kirja
99,90
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ostoskoriin kpl
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The Valtellina; Consolidation Coal Co. V. Societa Commerciale Di Mavigazione U.S. Supreme Court Transcript of Record with Suppor
Russell T Mount; Braden Vandeventer; Edward R Baird
Gale Ecco, U.S. Supreme Court Records (2011)
Pehmeäkantinen kirja
64,00
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The New Counter-insurgency Era in Critical Perspective
Celeste Ward Gventer; D. Jones; M.L.R Smith
Palgrave Macmillan (2014)
Kovakantinen kirja
117,20
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ostoskoriin kpl
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The New Counter-insurgency Era in Critical Perspective
Celeste Ward Gventer; D. Jones; M.L.R Smith
Palgrave Macmillan (2014)
Pehmeäkantinen kirja
117,20
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ostoskoriin kpl
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New Counter-insurgency Era in Critical Perspective
Ward Gventer Celeste Ward Gventer; Smith M.L.R Smith
Springer Nature B.V. (2014)
Pehmeäkantinen kirja
115,70
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Advanced Financial Risk Management, Second Edition - Tools & Techniques for Integrated Credit Risk and Interest Rate Risk Manage
125,70 €
John Wiley & Sons Inc
Sivumäärä: 880 sivua
Asu: Kovakantinen kirja
Julkaisuvuosi: 2013, 26.02.2013 (lisätietoa)
Practical tools and advice for managing financial risk, updated for a post-crisis world Advanced Financial Risk Management bridges the gap between the idealized assumptions used for risk valuation and the realities that must be reflected in management actions. It explains, in detailed yet easy-to-understand terms, the analytics of these issues from A to Z, and lays out a comprehensive strategy for risk management measurement, objectives, and hedging techniques that apply to all types of institutions. Written by experienced risk managers, the book covers everything from the basics of present value, forward rates, and interest rate compounding to the wide variety of alternative term structure models. Revised and updated with lessons from the 2007-2010 financial crisis, Advanced Financial Risk Management outlines a framework for fully integrated risk management. Credit risk, market risk, asset and liability management, and performance measurement have historically been thought of as separate disciplines, but recent developments in financial theory and computer science now allow these views of risk to be analyzed on a more integrated basis.
The book presents a performance measurement approach that goes far beyond traditional capital allocation techniques to measure risk-adjusted shareholder value creation, and supplements this strategic view of integrated risk with step-by-step tools and techniques for constructing a risk management system that achieves these objectives. * Practical tools for managing risk in the financial world * Updated to include the most recent events that have influenced risk management * Topics covered include the basics of present value, forward rates, and interest rate compounding; American vs. European fixed income options; default probability models; prepayment models; mortality models; and alternatives to the Vasicek model Comprehensive and in-depth, Advanced Financial Risk Management is an essential resource for anyone working in the financial field.

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Helsinki
Tapiola
Turku
Tampere
Advanced Financial Risk Management, Second Edition - Tools & Techniques for Integrated Credit Risk and Interest Rate Risk Manage
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ISBN:
9781118278543
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