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Financial Risk Management : A practitioner's guide to managing market and credit risk
Financial Risk Management : A practitioner's guide to managing market and credit risk / by...
Financial Risk Management : A practitioner's guide to managing market and credit risk

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자료유형  
 단행본
 
00000098
ISBN  
9780471219774 : \130730
KDC  
325.8-5
청구기호  
325.8 A425ㅍ
저자명  
Allen, Steven , 1945
서명/저자  
Financial Risk Management : A practitioners guide to managing market and credit risk / by Steven Allen
발행사항  
Hoboken, NJ : John Wiley & Sons Inc, 2003
형태사항  
xxi,393 p ; 24 cm+CD-ROM 1매
서지주기  
Includes bibliographical references (p. 365-370) and index
초록/해제  
요약: An insiders view of financial risk management This complete guide covers the strategies principles and measurement techniques necessary to measure and manage financial risk With a focus on management perspective this book explores realworld issues such as model validation risk measurement valuation methodologies and much more
일반주제명  
Risk management
일반주제명  
Finance
키워드  
FINANCIAL RISK MANAGEMENT PRACTITIONERS MARKET CREDIT
기타서명  
A practitioner's guide to managing market and credit risk
가격  
\130730
Control Number  
kpcl:198092
책소개  
Praise for Financial Risk Management " Key material on how risks can be isolated, quantified, and managed from a top risk management practitioner." – John Hull, Maple Financial Chair in Derivatives and Risk Management, and D...

MARC

 008030924s2003        us                        001      eng
■0010000000098
■00520130226130117
■020    ▼a9780471219774▼c\130730
■040    ▼a241057
■056    ▼a325.8▼25
■090    ▼a325.8▼bA425ㅍ
■1001  ▼aAllen,  Steven▼d1945
■24510▼aFinancial  Risk  Management▼bA  practitioner's  guide  to  managing  market  and  credit  risk▼dby  Steven  Allen
■260    ▼aHoboken,  NJ▼bJohn  Wiley  &  Sons  Inc▼c2003
■300    ▼axxi,393  p▼c24  cm▼eCD-ROM  1매
■504    ▼aIncludes  bibliographical  references  (p.  365-370)  and  index
■520    ▼aAn  insiders  view  of  financial  risk  management  This  complete  guide  covers  the  strategies  principles  and  measurement  techniques  necessary  to  measure  and  manage  financial  risk  With  a  focus  on  management  perspective  this  book  explores  realworld  issues  such  as  model  validation  risk  measurement  valuation  methodologies  and  much  more
■650  0▼aRisk  management
■650  0▼aFinance
■653    ▼aFINANCIAL  RISK▼aMANAGEMENT▼aPRACTITIONERS▼aMARKET▼aCREDIT
■740  2▼aA  practitioner's  guide  to  managing  market  and  credit  risk
■9500  ▼b\130730

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