John C. Hull
Risk Management and Financial Institutions
Buch
All Finance Professionals Need to Understand RiskCompanies must take risks to survive and prosper, but deciding which risks are acceptable, which are not, and what action to take is the tricky part. To be successful, all finance professionals need a solid understanding of risk.Risk Management and Financial Institutions, written by one of the most respected authorities on financial risk management, is thorough, textbook-level instruction for all finance professionals, on all aspects of financial risk.Fully revised and updated, this top-selling book clarifies such complex topics as the diff erent types of financial institutions and how they are…
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Beschreibung
All Finance Professionals Need to Understand RiskCompanies must take risks to survive and prosper, but deciding which risks are acceptable, which are not, and what action to take is the tricky part. To be successful, all finance professionals need a solid understanding of risk.Risk Management and Financial Institutions, written by one of the most respected authorities on financial risk management, is thorough, textbook-level instruction for all finance professionals, on all aspects of financial risk.Fully revised and updated, this top-selling book clarifies such complex topics as the diff erent types of financial institutions and how they are regulated, valuation and scenario analysis, credit risk, margin and collateral, volatility, and much more.You'll find new coverage of timely subjects, such as central clearing, scenario analysis, enterprise risk management, and the latest regulatory issues-and gain access to a supplementary website with additional software and helpful learning aids.
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Produktdetails
- ISBN: 978-1-118-95594-9
- EAN: 9781118955949
- Produktnummer: 17351734
- Verlag: Wiley
- Sprache: Englisch
- Erscheinungsjahr: 2015
- Seitenangabe: 752 S.
- Masse: H25.4 cm x B17.9 cm x D2.5 cm 1'309 g
- Auflage: 4. A.
- Abbildungen: s/w. Abb.
- Gewicht: 1309
Über den Autor
JOHN C. HULLis the Maple Financial Professor of Derivatives and Risk Management at the Joseph L. Rotman School of Management, University of Toronto, and codirector of Rotman's Master of Finance program. He has been a consultant to many North American, Japanese, and European fi nancial institutions, and is the author of three books, which are widely used by both practitioners and academics, and an associate editor of eight academic journals.
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