• 金融风险管理(第5版)
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金融风险管理(第5版)

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作者朱淑珍 主编 著

出版社北京大学出版社

ISBN9787301352519

出版时间2024-07

装帧平装

开本16开

定价59元

货号1203403100

上书时间2024-11-14

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作者简介
朱淑珍
  ----------------------------  
东华大学旭日工商管理学院,教授,博士生导师,金融风险研究所所长,中国金融工程学会理事,宝钢奖全国优秀教师获得者。

目录
第一篇  基本原理
第1章  金融风险概述························································································ 002
第2章  金融风险管理的基本理论······································································· 032
第3章  金融风险的识别与度量··········································································· 054
第4章  金融风险的预警····················································································· 075
第二篇  商业银行
第5章  商业银行风险管理概述··········································································· 096
第6章  信用风险管理························································································ 124
第7章  流动性风险管理····················································································· 151
第8章  利率风险管理························································································ 166
第9章  汇率风险管理························································································ 188
第10章  操作风险管理······················································································ 203
第三篇  主要金融市场
第11章  股票市场风险管理················································································ 226
第12章  债券市场风险管理··············································································· 246
第13章  基金市场风险管理··············································································· 267
第14章  保险市场风险管理··············································································· 279
第15章  金融衍生品市场风险管理····································································· 306
参考文献 ·········································································································· 328

内容摘要
本书根据金融风险管理理论的内在逻辑,全面系统地介绍了金融风险管理原理和方法,全书分为3篇。第1篇基本原理,主要介绍金融风险形成的基本理论,根据金融风险管理流程,分别分析了金融风险识别与度量,解释了金融风险预警的基本思想。第⒉篇商业银行,在总体介绍商业银行风险管理的基本原理基础上,对商业银行面临的主要风险如信用风险、流动性风险、利率风险、汇率风险、操作风险加以详细分析。第3篇主要金融市场,先后分析了股市、债券市场、基金市场、保险市场、金融衍生品市场及信托与租赁风险管理的方法。
本书既可作为高等院校金融学专业、金融工程专业以及经管类其他专业教材,也可以供金融从业人员参考使用。

主编推荐
本书既可作为高等院校金融学专业、金融工程专业以及经管类其他专业教材,也可以供金融从业人员参考使用。

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