서브메뉴
검색
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
- 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
- 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...
Подробнее информация.
- Бронирование
- не существует
- 도서대출신청
- моя папка
로그인 후 이용 가능합니다.