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Gestion des risques sur opérations de marché.
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ISBN: 2869114974 9782869114975 Year: 1997 Publisher: Paris Eska


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Information security in financial services
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ISBN: 0333547020 Year: 1991 Publisher: New York Stockton Press


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The credit risk of complex derivatives
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ISBN: 0333604024 Year: 1994 Publisher: Basingstoke Macmillan

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Risk management in turbulent times.
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ISBN: 9780199774081 0199774080 Year: 2011 Publisher: Oxford Oxford University


Book
Paiements électroniques sécurisés
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ISBN: 9782880746940 Year: 2007 Publisher: Lausanne Presses Polytechniques et Universitaires Romandes

Bank fragility and regulation : evidence from different countries.
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ISBN: 076230698X Year: 2000 Publisher: Oxford Elsevier


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Securitisation : history, forms and risks
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ISBN: 0904390357 Year: 1988 Publisher: Bangor University College of North Wales, Institute of European Finance

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Financial risk management : models, history, and institutions
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ISBN: 9780470481806 9781118022917 9781118022900 9781118022894 Year: 2011 Publisher: Hoboken, N.J. Wiley

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"An in-depth look at the tools and techniques professionals use to address financial risksRisk and uncertainty, as Allan Malz explains in his ground-breaking new book, are two completely different concepts. Risk is a quantifiable uncertainty that can be modeled, while uncertainty defines non-quantifiable outcomes that are not always known. Part art and part science, the study of risk remains a relatively new discipline in finance and economics that continues to be refined. Financial crisis, rather than destroying the need for risk management, has given even great nuance and meaning to what risks exist and can be managed and controlled, and a taxonomy of new risks that need to be explored in ever more meaningful ways. This definitive guide on financial risk Explores all the tools and techniques needed to cope with risk Addresses state of the art approaches to modeling and managing risks Investigates stress tests in periods of heightened uncertainty, and the impact that variables such as liquidity and correlations can have on risk mitigation Provides practicing risk professionals with useful rules of thumb, intuitions, and insights gleaned from Malz's entire career as risk researcher, chief risk officer, and financial market regulator outside his classroom at Columbia University Informative and engaging, this book will help you understand why risk has become its own essential discipline on Wall Street and beyond"--


Book
The known, the unknown, and the unknowable in financial risk management : measurement and theory advancing practice.
Authors: --- ---
ISBN: 9780691128832 0691128839 Year: 2010 Publisher: Princeton Princeton university

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