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Professional`s Handbook of Financial Risk Management, Lev Borodovsky

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Цена: 42735р.
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Наличие: Отсутствует. Возможна поставка под заказ.

При оформлении заказа до: 8 сен 2022
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Автор: Lev Borodovsky
Название:  Professional`s Handbook of Financial Risk Management
Перевод названия: Руководство менеджмента финансовых рисков
ISBN: 9780750641111
Издательство: Elsevier Science
ISBN-10: 0750641118
Обложка/Формат: Hardback
Страницы: 832
Вес: 2.28 кг.
Дата издания: 25.02.2000
Серия: Psych Neuro&For
Язык: English
Иллюстрации: Illustrations
Размер: 31.85 x 21.34 x 5.72
Читательская аудитория: Professional & vocational
Ссылка на Издательство: Link
Поставляется из: Англии

Risk Management: The Swaps & Financial Derivatives Library, 3rd Edition Revised

Автор: Satyajit Das
Название: Risk Management: The Swaps & Financial Derivatives Library, 3rd Edition Revised
ISBN: 0470821655 ISBN-13(EAN): 9780470821657
Издательство: Wiley
Цена: 15125 р.
Наличие на складе: Есть (1 шт.)
Описание: Risk Management consists of 8 Parts and 18 Chapters covering risk management, market risk methodologies (including VAR and stress testing), credit risk in derivative transactions, other derivatives trading risks (liquidity risk, model risk and operational risk), organizational aspects of risk management and operational aspects of derivative trading. The volume also covers documentation/legal aspects of derivative transactions (including ISDA documentary framework), accounting treatment (including FASB 133 and IAS 39 issues), taxation aspects and regulatory aspects of derivative trading affecting banks and securities dealers (including the Basel framework for capital to be held against credit and market risk).

Advances in Financial Risk Management

Автор: Batten Jonathan A
Название: Advances in Financial Risk Management
ISBN: 1137025085 ISBN-13(EAN): 9781137025081
Издательство: Springer
Цена: 13859 р.
Наличие на складе: Есть у поставщика Поставка под заказ.

Описание: The latest research on measuring, managing and pricing financial risk. Three broad perspectives are considered: financial risk in non-financial corporations; in financial intermediaries such as banks; and finally within the context of a portfolio of securities of different credit quality and marketability.

Governance, Risk Management, Financial Regulation and Compliance:  An Integrated Approach

Автор: Driver
Название: Governance, Risk Management, Financial Regulation and Compliance: An Integrated Approach
ISBN: 1118391365 ISBN-13(EAN): 9781118391365
Издательство: Wiley
Цена: 5499 р.
Наличие на складе: Поставка под заказ.

Описание: Governance, Risk Management, Financial Regulation, and Compliance is an advanced, real-world guide to understanding and tackling the myriad challenges of the financial sector.

Extreme Financial Risks / From Dependence to Risk Management

Автор: Malevergne Yannick, Sornette Didier
Название: Extreme Financial Risks / From Dependence to Risk Management
ISBN: 354027264X ISBN-13(EAN): 9783540272649
Издательство: Springer
Цена: 8084 р.
Наличие на складе: Поставка под заказ.

Описание: Portfolio analysis and optimization, together with the associated risk assessment and management, require knowledge of the likely distributions of returns at different time scales and insights into the nature and properties of dependences between the different assets.This book offers an original and thorough treatment of these two domains, focusing mainly on the concepts and tools that remain valid for large and extreme price moves. Strong emphasis is placed on the theory of copulas and their empirical testing and calibration, because they offer intrinsic and complete measures of dependences.Extreme Financial Risks will be useful to: students looking for a general and in-depth introduction to the field; financial engineers, economists, econometricians, actuarial professionals; researchers and mathematicians looking for a synoptic view comparing the pros and cons of different modelling strategies; andquantitative practitioners for the insights offered on the subtleties and the many dimensional components of both risk and dependence. In toto, the content of this book will also be useful to a broader scientific community interested in quantifying the complexity of many natural and artificial processes in which a growing emphasis is on the role and importance of extreme phenomena.

Credit risk management in and out of the financial crisis

Автор: Saunders, Anthony Allen, Linda
Название: Credit risk management in and out of the financial crisis
ISBN: 0470478349 ISBN-13(EAN): 9780470478349
Издательство: Wiley
Цена: 10313 р.
Наличие на складе: Поставка под заказ.

Описание: A classic book on credit risk management is updated to reflect the current economic crisis

Credit Risk Management In and Out of the Financial Crisis dissects the 2007-2008 credit crisis and provides solutions for professionals looking to better manage risk through modeling and new technology.

Financial Risk Management for Dummies

Автор: Brown Aaron
Название: Financial Risk Management for Dummies
ISBN: 111908220X ISBN-13(EAN): 9781119082200
Издательство: Wiley
Цена: 2336 р.
Наличие на складе: Есть у поставщика Поставка под заказ.

Описание: Learn to: Recognise financial risk and successfully manage it Analyse the different risk methodologies and apply them effectively to your situation Utilise complex risk management tools such as stop losses, drawdown control and hedging Build upo

Stress Management for Primary Health Care Professionals

Автор: Rout Usha R., Rout Jaya K.
Название: Stress Management for Primary Health Care Professionals
ISBN: 0306472406 ISBN-13(EAN): 9780306472404
Издательство: Springer
Цена: 15591 р.
Наличие на складе: Поставка под заказ.

Описание: The National Health Service (NHS) is undergoing enormous change, which has led to many primary health care professionals experiencing pressure beyond their control and ability to cope. Primary care in Britain has taken on a new shape due to these changes and the members of the primary health care team are having to take additional responsibilities and working under tremendous pressure. Therefore, it is important to identify the sources of stress and find ways of dealing with them. Although there are a number of books on stress in other professions, there is no general book on stress and methods of coping in primary care. Stress Management for Primary Health Care Professionals is timely in the context of the NHS change, and the impact of this change on the primary health care professional. This is the first book to examine stress in primary care professionals and is aimed directly at primary health care professionals, students in medicine, nursing, social sciences and allied health professions. Also, it can be of value to the researchers working in this area. This book is the product of the research work of the authors, over the years, on primary health care professionals: general practitioners, practice managers, practice nurses, receptionists, health visitors, district nurses and community psychiatric nurses. The book is organised into 9 chapters. Chapter 1 briefly describes the history and background to the NHS in Britain, its structure, function, changes and reforms. It also mentions important roles of some of the members of the primary care team. In Chapter 2 the concept of stress is defined. Chapter 3 gives a general overview of occupational stress literature. Chapter 4 discusses individual differences and other conditioning variables as these influence the experiences of occupational stress. Chapter 5 considers the consequences of stress in terms of cost to the individual and organisation. Although a brief literature review on stress in primary health care professionals is included in Chapter 6, more emphasis is given on the authors' studies. Chapters 7 and 8 describe individual and organisational stress management strategies respectively that the primary health care professionals may find useful. The final chapter briefly mentions resources and training.

Risk management and financial institutions, 4th ed

Автор: John C. Hull
Название: Risk management and financial institutions, 4th ed
ISBN: 1118955943 ISBN-13(EAN): 9781118955949
Издательство: Wiley
Цена: 13750 р.
Наличие на складе: Невозможна поставка.

Описание: All Finance Professionals Need to Understand Risk Companies 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.try." JOURNAL OF MOLECULAR GRAPHICS AND MODELLING "One cannot generally do better than to try to find an appropriate article in the highly successful Reviews in Computational Chemistry. The basic philosophy of the editors seems to be to help the authors produce chapters that are complete, accurate, clear, and accessible to experimentalists (in particular) and other nonspecialists (in general)." JOURNAL OF THE AMERICAN CHEMICAL SOCIETY  find indispensable.ny ways to invest in residential income property Considerations for foreclosures, REOs, and probate sales What you need to know about property inspections and closings Advice on setting rental policies and finding trustworthy tenants The lowdown on recordkeeping, accounting, and taxes Ways to increase a property?s return Ten insider?s steps to real estate investing success , over 255 papers; and given more than 160 conference presentations.aluation.Olofsson is the author of Probability, Statistics, and Stochastic Processes, Second Edition, also published by Wiley.  ned to be used every day in the fast–paced veterinary setting Includes dosages for a wide range of species, including dogs, cats, exotic animals, and farm animals Provides a must–have reference for veterinarians and veterinary students se pathways can be individually assessed and compared to one another. The book describes both the strengths and limitations of the current molecular and atomistic modelling toolkit so that the professional interested in using these techniques can determine whether or not a given tool is appropriate for simulating the corrosion phenomenon at hand. The book also can serve as a reference for researchers seeking to build new research programs that will extend the current molecular modelling toolkit into exciting new directions. Molecular Modeling of Corrosion Processes features: Recent examples of applications of molecular modeling to corrosion phenomena throughout the text An introduction to mechanisms and models in corrosion science and engineering Methods such as kinetic Monte Carlo simulation, thermodynamic analysis, simulation of adsorption phenomena, statistical mechanics, and conventional transition state theory Presents current challenges and likely developments in this field for the future Various recent examples of applications of molecular modeling to corrosion phenomena are provided throughout the text. Some of these applications include the molecular dynamics of interfaces, dissolution mechanisms and dealloying, interrogating surface chemistry, properties of passive films, localized corrosion, the metal/metal oxide interface, hydrogen embrittlement, stress corrosion cracking, the modeling of corrosion inhibitors, and computational materials discovery. Christopher Taylor Ph.D. is a Senior Researcher in the Research and Innovation Group at DNV GL, and an Associate Research Professor in the Fontana Corrosion Center of The Ohio Stat

Financial Markets and Corporate Strategy  2 ed.

Автор: David Hillier,Mark Grinblatt
Название: Financial Markets and Corporate Strategy 2 ed.
ISBN: 0077129423 ISBN-13(EAN): 9780077129422
Издательство: McGraw-Hill
Цена: 9349 р.
Наличие на складе: Есть у поставщика Поставка под заказ.

Описание: Financial Markets and Corporate Strategy

Microstructure of financial markets

Автор: Jong, Frank De Rindi, Barbara
Название: Microstructure of financial markets
ISBN: 0521687276 ISBN-13(EAN): 9780521687270
Издательство: Cambridge Academ
Цена: 4518 р.
Наличие на складе: Поставка под заказ.

Описание: The analysis of the microstructure of financial markets has been one of the most important areas of research in finance and has allowed scholars and practitioners alike to have a much more sophisticated understanding of the dynamics of price formation in financial markets. Frank de Jong and Barbara Rindi provide an integrated graduate level textbook treatment of the theory and empirics of the subject, starting with a detailed description of the trading systems on stock exchanges and other markets and then turning to economic theory and asset pricing models. Special attention is paid to models explaining transaction costs, with a treatment of the measurement of these costs and the implications for the return on investment. The final chapters review recent developments in the academic literature. End-of-chapter exercises and downloadable data from the book's companion website provide opportunities to revise and apply models developed in the text.

Financial Institutions Management: A Risk Management Approach

Автор: Saunders
Название: Financial Institutions Management: A Risk Management Approach
ISBN: 1259010856 ISBN-13(EAN): 9781259010859
Издательство: McGraw-Hill
Цена: 4923 р.
Наличие на складе: Невозможна поставка.

Описание: Provides an approach that focuses on managing return and risk in modern financial institutions.

Financial modelling with jump processes

Автор: Cont, Tankov
Название: Financial modelling with jump processes
ISBN: 1584884134 ISBN-13(EAN): 9781584884132
Издательство: Taylor&Francis
Цена: 13061 р.
Наличие на складе: Поставка под заказ.

Описание: Presents an overview of the theoretical, numerical, and empirical aspects of using jump processes in financial modeling. This book demonstrates that the concepts and tools necessary for understanding and implementing models with jumps can be more intuitive that those involved in the Black Scholes and diffusion models.

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