Dealing with Financial Risk [electronic resource] : A Guide to Financial Risk Management
Dealing with Financial Risk [electronic resource] : A Guide to Financial Risk Management
About this item
Full title
Author / Creator
Publisher
London : Economist Books, 2004.
Alternative title
Date
2004.
Record Identifier
MMS ID
Language
English
Formats
Physical Description
Physical content
1 online resource (222 p.)
Content type
text
Media type
computer
Carrier type
online resource
Contents
Preliminaries; Contents; Introduction; 1 The growth of modern financial markets; 2 Market theory; 3 Derivatives and leverage; 4 Temples to risk management; 5 Models for Everyman; 6 Credit models get a thrashing; 7 The rise of the firm wide risk manager; 8 Basel 2 is born a new regulatory regime; 9 I...
Glossary of key terms
Publication information
Publisher
London : Economist Books, 2004.
Date Published
2004.
More information
Scope and Contents
Summary
Good risk management requires a constant sharpening of one's awareness to new risks and to the probabilities of different outcomes. This guide will increase the reader's risk awareness, by presenting concepts in a simple and entertaining way, and by explaining the endeavours, mistakes and successes of others.
Alternative Titles
Full title
Dealing with Financial Risk [electronic resource] : A Guide to Financial Risk Management
Variant title
DEALING WITH FINANCIAL RISK
BOOK
Abbreviated title
DEALING WITH FINANCIAL RISK
Authors, Artists and Contributors
Author / Creator
Notes
General note
Description based upon print version of record.
Language note
English
Issued As
1-86197-591-0
Identifiers
Primary Identifiers
Record Identifier
74VKVkmMvZqO
Permalink
https://devfeature-collection.sl.nsw.gov.au/record/74VKVkmMvZqO
Other Identifiers
ISBN
1-84765-007-4
1-281-03167-4
DDC
658.155
MMS ID
991024179999102626