Financial Risk Management, Second Edition + Website:A Practitioner’s Guide to Managing Market and Credit Risk(Wiley Finance)

金融风险管理 第2版 + 网站:从业者的市场和信用风险管理指南(丛书)

货币银行学

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1206.25
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发货周期:预计3-5周发货
作      者
出  版 社
出版时间
2012年12月14日
装      帧
精装
ISBN
9781118175453
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页      码
608
语      种
英文
版      次
2nd ed.
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图书简介
Financial risk management as a field of study and practicecontinues to evolve rapidly. Despite the long list of books written aboutthis subject, most focus on statistical risk measurement techniques. Allenoffers something different: an insider’s view of financial risk management,as was practiced by a market risk expert at one of the world’s leadingfinancial institutions, J.P. Morgan Chase. Allen explores real world issuessuch as model validation, risk measurement methodologies, valuationmethodologies, and determination of reserves and measurement of counterpartycredit risk for all derivative products globally. He does so with theexpertise of a practitioner who was a key architect of Chase’s value-at-riskand stress-testing systems. What makes Allen’s exploration of the field ofrisk management so engaging is his ability to explore a full range offinancial risk management topics with the communication skills of an academicinstructor and the hands-on experience of a market practitioner. ?
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