Risk managementZpět do menu
Risk Management and Financial Derivatives: A Guide to the Mathematics (Finance and Capital Markets Series)
Risk Management and Financial Derivatives: A Guide to the Mathematics (Finance and Capital Markets Series)
Autor: Satyajit Das | Vydavatel: Palgrave Macmillan
Koupit tuto publikaci

Modern financial management entails an appreciation of a number of key mathematical concepts. This is particularly relevant to risk and risk management products, such as derivatives. The central role played by these products in capital markets is forcing an ever broader range of personnel to be aware of and utilize these concepts either from a supervisory perspective or in their day to day activities. This text explains the mathematical basis of risk and derivatives in a non technical manner to allow non (maths) specialists to gain an appreciation of the concepts that are utilized. The book looks at the basic mathematics underlying risk and risk management products and the applications of these techniques to a number of common settings. This should allow understanding to be gained about concepts actually used.

Přidáno: 04.05.2007ISBN: 0333713974Stran: 832Cena: £ 130,00Jazyk: anglicky
Doporučujeme
Risk Management: 10 Princi
Risk Management: 10 Principles
Stran: 128
Cena: £ 20,99
Jazyk: anglicky
In the same way as the 4Ps of marketing are a fundamental principle of business theory, this book puts forward the 10Ps of Risk Management as a consistent and comprehensive approach to the subject. The 10Ps o
Money Laundering: A Guide
Money Laundering: A Guide for Criminal Investigators
Stran: 560
Cena: £ 58,89
Jazyk: anglicky
Many of the techniques that drug traffickers and organized crime figures use to launder money are also employed by terrorist groups - as those involved in investigating the attacks of September 11, 2001 soon di
Credit Risk Measurement: N
Credit Risk Measurement: New Approaches to Value at Risk and Other Paradigms (Wiley Finance)
Stran: 288
Cena: £ 43,49
Jazyk: anglicky
Z řízení úvěrových rizik a rozhodování ohledně portfolií úvěrových instrumentů se stalo v posledních letech velice komplexní a kontroverzní téma. Tony Sauders sepsal důležitý a velice výs
Vyhledávání
kniha     autor