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Models at Work

A Practitioner's Guide to Risk Management

Medium: Buch
ISBN: 978-1-349-47570-4
Verlag: Palgrave MacMillan UK
Erscheinungstermin: 01.01.2014
Lieferfrist: bis zu 10 Tage

This book provides a much needed 'middle ground' for risk practitioners who need an in-depth understanding of risk management without excessive formulae or theory. Written to appeal to a broad but financially-minded audience, it provides coverage of risk management and the frameworks commonly applied in the financial services industry.


Produkteigenschaften


  • Artikelnummer: 9781349475704
  • Medium: Buch
  • ISBN: 978-1-349-47570-4
  • Verlag: Palgrave MacMillan UK
  • Erscheinungstermin: 01.01.2014
  • Sprache(n): Englisch
  • Auflage: 2014. Auflage 2014
  • Serie: Global Financial Markets
  • Produktform: Kartoniert
  • Gewicht: 898 g
  • Seiten: 613
  • Format (B x H x T): 156 x 234 x 33 mm
  • Ausgabetyp: Kein, Unbekannt
Autoren/Hrsg.

Autoren

PART I: RISK 1. What is Risk? 2. Measuring Risk 3. Stress Testing, Bank Regulations and Risk 4. Managing Risks 5. Building Risk Systems PART II: MONTE CARLO SIMULATION 6. Monte Carlo Simulators in Excel 7. Simulation Applications PART III: FIXED INCOME AND COMMODITY MARKETS - DISSECTING PRICING 8. Identifying Drivers for Projecting Crude Oil Prices 9. Gold and the Australian Dollar 10. Relative Value and the Gold - Silver Ratio 11. Correlations: Crude Oil and Other Commodities 12. Crude Palm Oil Futures 13. Crude Oil and Inflation 14. Historical Spreads in Bond Yealds in the Indo-Pak Sub-Continent 15. Volatility Trends in Commodity Prices 16. Energy Insights PART IV: DERIVATIVE SECURITIES 17. Derivatives Terminology 18. Products and Pricing 19. Variations 20. Derivative Pricing 21. Advanced Fixed Income Securities 22. The Treasury Function 23. Advanced Products