• Risk Management
  • Risk Management
  • Risk Management
  • Risk Management
  • Risk Management
  • Risk Management
  • Risk Management
21年品牌 40万+商家 超1.5亿件商品

Risk Management

80 1.4折 569.2 八五品

仅1件

北京海淀
认证卖家担保交易快速发货售后保障

作者Michel、Robert、Dan Galai 著

出版社McGraw-Hill

出版时间2000-10

版次1

装帧精装

货号J-C10-3

上书时间2024-07-11

墨江南书斋

三年老店
已实名 已认证 进店 收藏店铺

   商品详情   

品相描述:八五品
内页划线 切口污渍
图书标准信息
  • 作者 Michel、Robert、Dan Galai 著
  • 出版社 McGraw-Hill
  • 出版时间 2000-10
  • 版次 1
  • ISBN 9780071357319
  • 定价 569.20元
  • 装帧 精装
  • 开本 其他
  • 纸张 其他
  • 页数 752页
  • 正文语种 英语
【内容简介】
Thisistheall-in-onebanker'sandfinancialmanager'sguideforimplementingandusinganeffectiveriskmanagementprogram.Intoday'sworldofmultibillion-dollarcreditlossesandbailouts,ithasbecomeincreasinglyimperativeforcorporateandbankingleaderstomonitorandmanageriskonallfronts."RiskManagement"introducesandexploresthelatestfinancialandhedgingtechniquesinusearoundtheworld,andprovidesthefoundationforcreatinganintegrated,consistent,andeffectiveriskmanagementstrategy.Thetestedandcomprehensiveanalysisandinsightsin"RiskManagement"givebankersandfinancialmanagersallthenecessaryinformationfor:RiskManagementOverview-fromthehistoryofriskmanagementtothenewregulatoryandtradingenvironment,alookatriskmanagementpastandpresent;RiskManagementProgramDesign-techniquestoorganizetheriskmanagementfunction,anddesignasystemtocoveryourorganization'smanyriskexposures;and,RiskManagementImplementation-howtousethemyriadsystemsandproductsvalueatrisk(VaR),stress-testing,derivatives,andmoreformeasuringandhedgingriskintoday'smarketplace.Inthefinancialworld,theneedforadedicatedriskmanagementframeworkisarelativelyrecentphenomenon.ButastheLong-TermCapitalManagementandBankAmericacrisesattest,lackofup-to-dateknowledgeconcerningitsmanycomponentscanbedevastating.Forfinancialmanagersinboththebankingandbusinessenvironments,"RiskManagement"willintroduceandillustratethemanyaspectsofmodernriskmanagementandstrengtheneveryfinancialriskmanagementprogram.Explodingglobalcompetition,increasingregulations,andtheever-changingproductmixofinnovative,intricatederivativeandsecuritizationproductshavepushedriskmanagementtotheforefrontoftoday'sfinanciallandscape.Corporateandbankingexecutivestryingtomakesenseofthisenvironmentoftenfindthemselveswastingvaluabletimesearchingfordetailsandactuallycreatingriskthroughinnocentmisinterpretationsormisguidedhedgingstrategies."RiskManagement"consolidatestheentirefieldofcorporateriskadministrationfromdataandtechnologicalinfrastructuretoinvestmentandhedgingstrategiesthatincludeinnovativederivativescreditrisksecuritizationtechniquesintooneall-inclusive,easilyaccessiblereference.MichelCrouhy,DanGalai,andRobertMark,seasonedfinanceprofessionalswithanunmatchedbreadthofexperiencecoveringbanking,corporate,andacademicriskmanagementapplicationswalkyouthroughriskmanagementwiththefocusonconcrete,results-orientedtipsandanalysis.Theresultis,quitefrankly,theonlyreferenceyou'llneedforaquick,thoroughunderstandingoftoday'scomplexfinancialriskmanagementchallenges.Looktotheexpertanalysisandprovensuggestionsin"RiskManagement"forano-nonsenseoverviewof:IntegratedRiskManagement-howtounderstandanddevelopthenecessarytoolsformeasuringandmanagingallofyourfirm'sriskintermsofacommonunit;RegulatoryEnvironment-groupof30(G-30)policyrecommendations,BIS1998models,andthestandardizedapproachproposedbytheBasleCommittee;MarketRisk-newrulessetbytheSECfortradedcompaniestodisclosetheirriskmanagementpoliciesandquantifytheirexposuretomarketrisk;PracticalMeasurementIssues-utilizinghistorical,implied,andstochasticmodelstomeasurevolatility,plushelpfulsummariesofmeasuringcorrelationsandtheyieldcurve;and,FutureConsiderations-expectedconditionsandeffectsoftheBIS2000+Accord,withreviewoftheG-12recommendationstoimprovecounterpartyriskmanagementpractices.Neverbeforehavethefieldsofbankingandcorporatefinancialriskmanagementbeenascomplicatedandthestakesasunyielding.Whetherusedasanessentialresourceforinstitutionalfinancialriskmanagement,acomprehensivetextforcoursesconcentratingonbankriskmanagement,orsimplyasanunprecedentedreferencecoveringeveryimportantaspectofthediscipline,"RiskManagement"willbringyouup-to-dateonanareathatpromisestoincreaseinimportanceasweentertheunchartedwatersofthe21stcentury.
【作者简介】
MichelCrouhy,Ph.D.,isseniorvicepresident,GlobalAnalytics,RiskManagementDivisionatCanadianImperialBankofCommerce(CIBC),whereheisinchargeofmarketandcreditriskanalytics.Hehaspublishedextensivelyinacademicjournals,iscurrentlyassociateeditorofbothJournalofDerivativesandJournalofBankingandFinance,andisontheeditorialboardofJournalofRisk.DanGalai,Ph.D.,istheAbeGrayProfessorofFinanceandBusinessAdministrationattheHebrewUniversityandaprincipalofSigmaP.C.M.Dr.GalaihasconsultedfortheChicagoBoardOptionsExchangeandtheAmericanStockExchangeandpublishednumerousarticlesinleadingjournals.HewasthewinneroftheFirstAnnualPomeranzePrizeforexcellenceinoptionsresearchpresentedbytheCBOE.RobertMark,Ph.D.,isseniorexecutivevicepresidentattheCanadianImperialBankofCommerce.Dr.MarkisthechiefriskofficeratCIBCandisamemberoftheseniorexecutiveteamofthebank.In1998,hewasnamedFinancialRiskManageroftheYearbytheGlobalAssociationofRiskProfessionals(GARP).
点击展开 点击收起

   相关推荐   

—  没有更多了  —

以下为对购买帮助不大的评价

内页划线 切口污渍
此功能需要访问孔网APP才能使用
暂时不用
打开孔网APP