金融风险管理:市场和信贷风险管理从业者指南FINANCIAL RISK MANAGEMENT chm umd 阿里云 下载 夸克云 pdf azw3 kindle

金融风险管理:市场和信贷风险管理从业者指南FINANCIAL RISK MANAGEMENT电子书下载地址
- 文件名
- [epub 下载] 金融风险管理:市场和信贷风险管理从业者指南FINANCIAL RISK MANAGEMENT epub格式电子书
- [azw3 下载] 金融风险管理:市场和信贷风险管理从业者指南FINANCIAL RISK MANAGEMENT azw3格式电子书
- [pdf 下载] 金融风险管理:市场和信贷风险管理从业者指南FINANCIAL RISK MANAGEMENT pdf格式电子书
- [txt 下载] 金融风险管理:市场和信贷风险管理从业者指南FINANCIAL RISK MANAGEMENT txt格式电子书
- [mobi 下载] 金融风险管理:市场和信贷风险管理从业者指南FINANCIAL RISK MANAGEMENT mobi格式电子书
- [word 下载] 金融风险管理:市场和信贷风险管理从业者指南FINANCIAL RISK MANAGEMENT word格式电子书
- [kindle 下载] 金融风险管理:市场和信贷风险管理从业者指南FINANCIAL RISK MANAGEMENT kindle格式电子书
内容简介:
An insider's 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 real-world issues such as model validation, risk measurement, valuation methodologies, and much more. Self-contained Excel spreadsheets are included on the companion CD-ROM.
Steve Allen (New York, NY) is Managing Director of Market Risk Management at J.P. Morgan Chase. He has been a key architect of Chase's Value-at-Risk and Stress Testing systems. Allen also serves as Co-Chairman of the Market and Credit Risk Committee of the Bond Market Association and is coauthor of Valuing Fixed Income Investments and Derivative Securities.
书籍目录:
Foreword
Preface
Acnowledgments
CHAPTER 1 Introduction
1.1 The Contents of This Book
1.2 The Use of Mathematics in This Book
1.3 Overview
CHAPTER 2 Institutional Background
2.1 Moral Hazard—Insiders and Outsiders
2.2 Ponzi Schemes
2.3 Adverse Selection
2.4 The Winner’s Curse
2.5 Market Making versus Position Taking
CHAPTER 3 Operational Risk
3.1 Operations Risk
3.2 Legal Risk
3.3 Reputational Risk
3.4 Accounting Risk
3.5 Funding Liquidity Risk
3.6 Enterprise Risk
3.7 The Identification of Risks
3.8 Operational Risk Capital
CHAPTER 4 Financial Disasters
4.1 Disasters Due to Misleading Reporting
4.2 Disasters Due to Large Market Moves
4.3 Disasters Due to Conduct of Customer Business
CHAPTER 5 Managing Market Risk
5.1 Risk Measurement
5.2 Risk Control
CHAPTER 6 Model Risk
6.1 The Role of Models in Man aging Risk
6.2 Model Control
6.3 Mark to Market vs Mark to Model
CHAPTER 7 Managing Spot Risk
CHAPTER 8 Managing Forward Risk
CHAPTER 9 Managing Vanilla Options Risk
CHAPTER 10 Managing Exotic Options Risk
CHAPTER 11 Var and Stress Testing
CHAPTER 12 Credit Bisk
Appendix: Spreadsheet Calculators
Bibliography
About the CD-ROM
Index
作者介绍:
暂无相关内容,正在全力查找中
出版社信息:
暂无出版社相关信息,正在全力查找中!
书籍摘录:
暂无相关书籍摘录,正在全力查找中!
在线阅读/听书/购买/PDF下载地址:
原文赏析:
暂无原文赏析,正在全力查找中!
其它内容:
书籍介绍
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 Director, Bonham Centre for Finance, University of Toronto "Steve Allen’s book is an excellent read for both seasoned risk professionals and students. He has done a wonderful job of making a complex topic understandable and provided the necessary tools to help others develop and sharpen their own intuition about risk exposure and how to manage it. Theory about risk management is always interesting, but even more refreshing is to see how risk management is performed by those, like Allen, with years of experience in the trenches."
–Leslie Rahl, President, Capital Market Risk Advisors "A very practical and deep approach to the problems of financial risk management."
–Nassim Nicholas Taleb, Empirica LLC, author of Fooled by Randomness and Dynamic Hedging "Allen’s book is a treasure-trove of material and an invaluable resource for any professional seeking to understand modern risk management. It begins with basic concepts and builds carefully to the practical and theoretical ideas necessary for dealing with the complexities of the most sophisticated and relevant financial instruments today."
–Neil Chriss, Managing Director of Quantitative Strategies, SAC Capital, and author of Black-Scholes and Beyond
网站评分
书籍多样性:7分
书籍信息完全性:3分
网站更新速度:6分
使用便利性:8分
书籍清晰度:7分
书籍格式兼容性:4分
是否包含广告:4分
加载速度:7分
安全性:4分
稳定性:9分
搜索功能:7分
下载便捷性:4分
下载点评
- 书籍多(456+)
- 下载速度快(321+)
- 简单(516+)
- 超值(408+)
- 三星好评(287+)
- pdf(520+)
- 强烈推荐(603+)
下载评价
- 网友 濮***彤:
好棒啊!图书很全
- 网友 习***蓉:
品相完美
- 网友 曾***文:
五星好评哦
- 网友 曹***雯:
为什么许多书都找不到?
- 网友 冉***兮:
如果满分一百分,我愿意给你99分,剩下一分怕你骄傲
- 网友 潘***丽:
这里能在线转化,直接选择一款就可以了,用他这个转很方便的
- 网友 索***宸:
书的质量很好。资源多
- 网友 师***怀:
好是好,要是能免费下就好了
- 网友 利***巧:
差评。这个是收费的
- 网友 林***艳:
很好,能找到很多平常找不到的书。
- 网友 融***华:
下载速度还可以
喜欢"金融风险管理:市场和信贷风险管理从业者指南FINANCIAL RISK MANAGEMENT"的人也看了
宠物美容与护理 chm umd 阿里云 下载 夸克云 pdf azw3 kindle
临床技能(全国医学院校高职高专系列教材) chm umd 阿里云 下载 夸克云 pdf azw3 kindle
芪爷爷与人参娃. 6 品读古籍 chm umd 阿里云 下载 夸克云 pdf azw3 kindle
迪士尼 童趣专注力训练 每天15分钟 chm umd 阿里云 下载 夸克云 pdf azw3 kindle
园林植物种植设计 chm umd 阿里云 下载 夸克云 pdf azw3 kindle
和孩子一起学解决问题 chm umd 阿里云 下载 夸克云 pdf azw3 kindle
全国英语等级考试教程同步配套精讲及题解 chm umd 阿里云 下载 夸克云 pdf azw3 kindle
翻译与写作双向突破/2008考研英语第一时间 chm umd 阿里云 下载 夸克云 pdf azw3 kindle
一张桌子一本书:在阅读课上遇见你【正版】 chm umd 阿里云 下载 夸克云 pdf azw3 kindle
包邮台邮 论老年 西塞罗著 9789570832754 联经出版 chm umd 阿里云 下载 夸克云 pdf azw3 kindle
- 论语、大学、中庸 chm umd 阿里云 下载 夸克云 pdf azw3 kindle
- 税法 chm umd 阿里云 下载 夸克云 pdf azw3 kindle
- 曹禺评传 chm umd 阿里云 下载 夸克云 pdf azw3 kindle
- 黑暗塔之六:苏珊娜之歌 chm umd 阿里云 下载 夸克云 pdf azw3 kindle
- 会计人·2012会计基础考点精讲及归类题库-江苏会计从业无纸化考试 chm umd 阿里云 下载 夸克云 pdf azw3 kindle
- 空中芭蕾跳水 chm umd 阿里云 下载 夸克云 pdf azw3 kindle
- 无机化学实验(王丽丽) chm umd 阿里云 下载 夸克云 pdf azw3 kindle
- 孕妇胎教音乐正版胎教宝典6DVD+6CD chm umd 阿里云 下载 夸克云 pdf azw3 kindle
- Mastercam 2019三维造型与数控加工 第2版 chm umd 阿里云 下载 夸克云 pdf azw3 kindle
- 教育理论-全国各类成人高考专科起点升本科 chm umd 阿里云 下载 夸克云 pdf azw3 kindle
书籍真实打分
故事情节:3分
人物塑造:4分
主题深度:8分
文字风格:7分
语言运用:5分
文笔流畅:3分
思想传递:5分
知识深度:3分
知识广度:3分
实用性:3分
章节划分:3分
结构布局:8分
新颖与独特:6分
情感共鸣:9分
引人入胜:3分
现实相关:7分
沉浸感:6分
事实准确性:7分
文化贡献:5分