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Handbook of Credit Risk Management, Coogan Pushner Diane


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Цена: 7838р.
Кол-во:
Наличие: Поставка под заказ.  Есть в наличии на складе поставщика.
Склад Англия: 1 шт.  Склад Америка: 87 шт.  
При оформлении заказа до: 17 янв 2020
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Автор: Coogan Pushner Diane
Название:  Handbook of Credit Risk Management
Издательство: Wiley
Классификация:
Финансы и бухгалтерский учет
Финансы
Управление определенными областями

ISBN: 1118300203
ISBN-13(EAN): 9781118300206
ISBN: 1-118300-0-3
ISBN-13(EAN): 978-1-118300-0-6
Обложка/Формат: Hardback
Страницы: 352
Вес: 0.564 кг.
Дата издания: 15.02.2013
Серия: Economics/Business/Finance
Язык: ENG
Иллюстрации: Illustrations
Размер: 238 X 165 X 32
Читательская аудитория: Professional & vocational
Ключевые слова: Finance & accounting
Подзаголовок: Originating, assessing, and managing credit exposures
Ссылка на Издательство: Link
Рейтинг:
Поставляется из: Англии
Описание: A comprehensive guide to credit risk management The Handbook of Credit Risk Management presents a comprehensive overview of the practice of credit risk management for a large institution. It is a guide for professionals and students wanting a deeper understanding of how to manage credit exposures.
Дополнительное описание:




Professional`s Handbook of Financial Risk Management

Автор: Lev Borodovsky
Название: Professional`s Handbook of Financial Risk Management
ISBN: 0750641118 ISBN-13(EAN): 9780750641111
Издательство: Elsevier Science
Рейтинг:
Цена: 34595 р.
Наличие на складе: Поставка под заказ.

Описание: Covers various aspects of financial risk management including an in-depth look at operational risk management, regulation, risk-based capital, and risk adjusted performance measurement. This practical book focuses on practical financial risk management techniques and solutions. It also covers the various roles of the risk management function.

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
Рейтинг:
Цена: 10450 р.
Наличие на складе: Есть у поставщика Поставка под заказ.

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

Handbook of credit portfolio management

Автор: Gregoriou, Greg N.
Название: Handbook of credit portfolio management
ISBN: 0071598340 ISBN-13(EAN): 9780071598347
Издательство: McGraw-Hill
Рейтинг:
Цена: 8359 р.
Наличие на складе: Есть у поставщика Поставка под заказ.

Описание: The Handbook of Credit Portfolio Management delivers a comprehensive and global perspective on the latest strategies for credit portfolio rebalancing and management, particularly in relation to pricing, hedging, and measuring and managing risk.

Автор: Felsenheimer
Название: The Credit Market Handbook: A Practical Guide to Modern Credit Portfolio Management
ISBN: 3527503331 ISBN-13(EAN): 9783527503339
Издательство: Wiley
Рейтинг:
Цена: 7838 р.
Наличие на складе: Нет в наличии.

Описание: The subprime mortgage loan crisis in the US has developed into a broad credit and credit derivatives crisis lately. In previous years the credit derivatives market experienced growth rates of over 100% per year, outpacing all other derivative segments. Th

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
Рейтинг:
Цена: 3741 р.
Наличие на складе: Невозможна поставка.

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

The Handbook of Risk Management: Implementing a Post Crisis Corporate Culture

Автор: Carrel Philippe
Название: The Handbook of Risk Management: Implementing a Post Crisis Corporate Culture
ISBN: 0470681756 ISBN-13(EAN): 9780470681756
Издательство: Wiley
Рейтинг:
Цена: 4441 р.
Наличие на складе: Нет в наличии.

Описание: This handbook shows a firm how to repurpose its risk management in order to design and implement a corporate culture which involves all business units and individuals at each level of the hierarchy, how to analyse its risk appetite, translate it into risk policies and risk targets and distribute responsibilities and capabilities accordingly.

AMA Handbook of Financial Risk Management

Автор: Hampton John
Название: AMA Handbook of Financial Risk Management
ISBN: 0814417442 ISBN-13(EAN): 9780814417447
Издательство: McGraw-Hill
Рейтинг:
Цена: 6060 р.
Наличие на складе: Невозможна поставка.

Описание: Managing financial risks comes down to understanding how to reduce a complex business environment into workable concepts and models. This guide provides readers with the tools they need for dealing with the most important areas of financial decision making. It clarifies the factors that affect the value of a firm.

Handbook of integrated risk management in global supply chains

Автор: Kouvelis, Panos Dong, Lingxiu Boyabatli, Onur Li,
Название: Handbook of integrated risk management in global supply chains
ISBN: 0470535121 ISBN-13(EAN): 9780470535127
Издательство: Wiley
Рейтинг:
Цена: 14317 р.
Наличие на складе: Нет в наличии.

Описание: A comprehensive, one-stop reference for cutting-edge research in integrated risk management, modern applications, and best practices In the field of business, the ever-growing dependency on global supply chains has created new challenges that traditional risk management must be equipped to handle.

Handbook of Multi-Commodity Markets and Products: Structuring, trading and risk management

Автор: Roncoroni
Название: Handbook of Multi-Commodity Markets and Products: Structuring, trading and risk management
ISBN: 047074524X ISBN-13(EAN): 9780470745243
Издательство: Wiley
Рейтинг:
Цена: 10450 р.
Наличие на складе: Нет в наличии.

Описание: Non-technical, yet sophisticated The Handbook of Multi commodity Markets  is a practical manual which covers everything the professional needs on in order to become acquainted with the structure, functioning, rules and practices across a wide spectrum of commodity markets and master a large set of different skills and bodies of knowledge. In particular, the book focuses on the convergence of topics such as arbitrage valuation, econometric modelling, market structure analysis, contract engineering, risk assessment and management. Scenario simulation is dealt with to show how to structure and manage both simple and more sophisticated multi-commodity deals. It shows how, in terms of profit-making or risk management, you can exploit pay-off profiles and trading strategies by betting on the evolution of a diversified set of commodity prices and how you should price energy products and other commodities belonging to markets segmented across specific structural features (e.g., storable vs. non-storable, material vs. immaterial).  It discusses which methods and models should be developed or selected in order to make appropriate estimations of the future evolution of prices, specifically in terms of trend and market risk and what measures of risk should be adopted for the purpose of correctly assessing the quality of multi-commodity portfolios.  

Handbook of Financial Risk Management

Автор: Chan
Название: Handbook of Financial Risk Management
ISBN: 0470647159 ISBN-13(EAN): 9780470647158
Издательство: Wiley
Рейтинг:
Цена: 13167 р.
Наличие на складе: Нет в наличии.

Описание: This authoritative handbook illustrates practical implementation of simulation techniques in the banking and financial industries through use of real-world, time-sensitive applications.

Handbook of Agriculture Insurance: Crops, Forestry , Aquaculture, Livestock and Risk Management

Автор: Hohl
Название: Handbook of Agriculture Insurance: Crops, Forestry , Aquaculture, Livestock and Risk Management
ISBN: 1119345634 ISBN-13(EAN): 9781119345633
Издательство: Wiley
Рейтинг:
Цена: 12540 р.
Наличие на складе: Есть у поставщика Поставка под заказ.

Описание:

Gain a holistic view of agricultural (re)insurance and capital market risk transfer

Increasing agricultural production and food security remain key challenges for mankind. In order to meet global food demand, the Food and Agriculture Organisation estimates that production has to increase by 50% by 2050 and requires large investments. Agricultural insurance and financial instruments have been an integral part to advancing productivity and are becoming more important in increasingly globalized and specialized agricultural supply chains in the wake of potentially more frequent and severe natural disasters in today's key producing markets.

Underwriting, pricing and transferring agricultural risks is complex and requires a solid understanding of the production system, exposure, perils and the most suitable products, which vastly differ among developed and developing markets. In the last decade, new insurance schemes in emerging agricultural markets have greatly contributed to the large growth of the industry from a premium volume of US$10.1 billion (2006) to US$30.7 billion (2017). This growth is bound to continue as insurance penetration and exposure increase and new schemes are being developed. Agricultural (re)insurance has become a cornerstone of sovereign disaster risk financing frameworks.

Agricultural Risk Transfer introduces the main concepts of agricultural (re)insurance and capital market risk transfer that are discussed through industry case studies. It also discusses best industry practices for all main insurance products for crop, livestock, aquaculture and forestry risks including risk assessment, underwriting, pricing, modelling and loss adjustment.

  • Describes agricultural production risks and risk management approaches
  • Covers risk transfer of production and financial risks through insurance and financial instruments
  • Introduces modelling concepts for the main perils and key data sources that support risk transfer through indemnity- and index-based products
  • Describes risk pricing and underwriting approaches for crop, livestock, aquaculture and forestry exposure in developed and developing agricultural systems
  • Become familiar with risk transfer concepts to reinsurance and capital markets
  • Get to know the current market landscape and main risk transfer products for individual producers, agribusinesses and governments through theory and comprehensive industry case studies

Through Agricultural Risk Transfer, you'll gain a holistic view of agricultural (re)insurance and capital market solutions which will support better underwriting, more structured product development and improved risk transfer.

Credit Derivatives: Risk Management, Trading and Investing

Автор: Geoff Chaplin
Название: Credit Derivatives: Risk Management, Trading and Investing
ISBN: 047002416X ISBN-13(EAN): 9780470024164
Издательство: Wiley
Рейтинг:
Цена: 7054 р.
Наличие на складе: Нет в наличии.

Описание: This book gives a practical and comprehensive account of the theory, modelling and implementation of credit derivatives and cash products. It provides extensive coverage of a number of topics, including the case for practical vs theoretical models, counterparty risk and single name and correlation products, all with a wealth of examples.


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