Più di un milione di libri, a un clic di distanza!
Bookbot

Understanding Risk

The Theory and Practice of Financial Risk Management

Valutazione del libro

4,0(2)Aggiungi una valutazione

Parametri

  • 470pagine
  • 17 ore di lettura

Maggiori informazioni sul libro

Focusing on financial risk management, this book provides a comprehensive overview divided into four parts. It begins with foundational concepts and the behavior of financial instruments, followed by an exploration of regulatory capital standards and various risk models, including value-at-risk and operational risk. The author then addresses asset/liability and liquidity management. Finally, the text delves into structured finance, introducing innovative trading instruments such as inflation-linked products and convertible bonds, equipping readers with essential knowledge to navigate financial risks effectively.

Acquisto del libro

Understanding Risk, David E. Murphy

Lingua
Pubblicato
2008
product-detail.submit-box.info.binding
(In brossura)
Ti avviseremo via email non appena lo rintracceremo.

Metodi di pagamento

4,0
Molto buono
2 Valutazioni

Qui potrebbe esserci la tua recensione.