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Philippe Jorion

    Philippe Jorion è un professore di finanza, ma il suo lavoro trascende il puramente tecnico. Esplora i comportamenti umani profondamente radicati e i fondamenti psicologici che guidano i mercati finanziari, offrendo ai lettori una prospettiva unica sui fenomeni economici. Il suo approccio combina un'analisi rigorosa con una comprensione acuta dell'elemento umano, rendendo i concetti finanziari complessi accessibili e coinvolgenti. La scrittura di Jorion incoraggia una visione più sfumata del processo decisionale finanziario.

    Financial risk manager handbook
    Big Bets Gone Bad
    Value at risk : the new benchmark for managing financial risk
    • In December 1994, Orange County became the largest municipality in US history to become bankrupt. How can a municipal investment pool, which is supposed to be safe, lose billions of dollars? What are derivatives and how did they contribute to this tragedy? This book presents a description of the Orange County bankruptcy.

      Big Bets Gone Bad
    • An essential guide to financial risk management as well as the only way to ace the GARP FRM Exam The Financial Risk Management Exam (FRM Exam) was developed by the Global Association of Risk Professionals (GARP) as a means of establishing an industry standard of minimum professional competence in the field. It is given annually in November for risk professionals who want to earn FRM certification. Authored by renowned financial risk management guru Phillipe Jorion, with the full support of the GARP, this is the definitive guide for those preparing to take the FRM Exam. With the help of questions (and solutions) taken from previous exams, Jorion coaches readers on quantitative methods, capital markets, and market, credit, operational, and risk management concepts and assessment techniques. In addition to being the indispensable guide for those aspiring to FRM certification, Financial Risk Manager Handbook also serves as a valued working reference for risk professionals. Phillipe Jorion, PhD (Irvine, CA), is a Professor of Finance at the Graduate School of Management at UC Irvine. He has also taught at Columbia University, Northwestern University, the University of Chicago, and the University of British Columbia.

      Financial risk manager handbook