2004, ISBN: 3540226826
[EAN: 9783540226826], Nouveau livre, [SC: 10.99], [PU: Springer Berlin Heidelberg], MANAGEMENT / RISIKOMANAGEMENT; BANKING; BASELII; BUDGETING; CHANGE; FINANCE; HEDGING; INVESTMENT; MANAG… Altro …
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2004, ISBN: 3540226826
[EAN: 9783540226826], Neubuch, [SC: 0.0], [PU: Springer Berlin Heidelberg], MANAGEMENT / RISIKOMANAGEMENT; BASELII; BUDGETING; CHANGE; FINANCE; HEDGING; INVESTMENT; MANAGER; PRIVATEEQUITY… Altro …
ZVAB.com AHA-BUCH GmbH, Einbeck, Germany [51283250] [Rating: 5 (von 5)] NEW BOOK. Costi di spedizione:Versandkostenfrei. (EUR 0.00) Details... |
2004, ISBN: 3540226826
[EAN: 9783540226826], Nouveau livre, [SC: 15.0], [PU: Springer Berlin Heidelberg], MANAGEMENT RISIKOMANAGEMENT BANKING BASELII BUDGETING CHANGE FINANCE HEDGING INVESTMENT MANAGER PRIVATEE… Altro …
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2004, ISBN: 9783540226826
2nd revised and enlarged ed. 2005 Gepflegter, sauberer Zustand. 2. Auflage. 1696819/2 Versandkostenfreie Lieferung Investment,Banking,Finance,Basel II,conflict,Budgeting,strategy,Hedging,… Altro …
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2004, ISBN: 9783540226826
Hard cover, New., Sewn binding. Cloth over boards. 838 p. Contains: Unspecified, Tables, black & white., Berlin, Heidelberg, [PU: Springer]
alibris.co.uk |
2004, ISBN: 3540226826
[EAN: 9783540226826], Nouveau livre, [SC: 10.99], [PU: Springer Berlin Heidelberg], MANAGEMENT / RISIKOMANAGEMENT; BANKING; BASELII; BUDGETING; CHANGE; FINANCE; HEDGING; INVESTMENT; MANAG… Altro …
2004, ISBN: 3540226826
[EAN: 9783540226826], Neubuch, [SC: 0.0], [PU: Springer Berlin Heidelberg], MANAGEMENT / RISIKOMANAGEMENT; BASELII; BUDGETING; CHANGE; FINANCE; HEDGING; INVESTMENT; MANAGER; PRIVATEEQUITY… Altro …
2004
ISBN: 3540226826
[EAN: 9783540226826], Nouveau livre, [SC: 15.0], [PU: Springer Berlin Heidelberg], MANAGEMENT RISIKOMANAGEMENT BANKING BASELII BUDGETING CHANGE FINANCE HEDGING INVESTMENT MANAGER PRIVATEE… Altro …
2004, ISBN: 9783540226826
2nd revised and enlarged ed. 2005 Gepflegter, sauberer Zustand. 2. Auflage. 1696819/2 Versandkostenfreie Lieferung Investment,Banking,Finance,Basel II,conflict,Budgeting,strategy,Hedging,… Altro …
2004, ISBN: 9783540226826
Hard cover, New., Sewn binding. Cloth over boards. 838 p. Contains: Unspecified, Tables, black & white., Berlin, Heidelberg, [PU: Springer]
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Informazioni dettagliate del libro - Risk Management
EAN (ISBN-13): 9783540226826
ISBN (ISBN-10): 3540226826
Copertina rigida
Copertina flessibile
Anno di pubblicazione: 2004
Editore: Springer Berlin
838 Pagine
Peso: 1,444 kg
Lingua: eng/Englisch
Libro nella banca dati dal 2007-05-31T21:58:57+02:00 (Rome)
Pagina di dettaglio ultima modifica in 2023-07-28T13:53:02+02:00 (Rome)
ISBN/EAN: 3540226826
ISBN - Stili di scrittura alternativi:
3-540-22682-6, 978-3-540-22682-6
Stili di scrittura alternativi e concetti di ricerca simili:
Autore del libro : michael rudolf, frenkel, hommel, ulrich, markus günther, mark rudolf, homm
Titolo del libro: risk management, challenge
Dati dell'editore
Autore: Michael Frenkel; Ulrich Hommel; Markus Rudolf
Titolo: Risk Management - Challenge and Opportunity
Editore: Springer; Springer Berlin
838 Pagine
Anno di pubblicazione: 2004-11-23
Berlin; Heidelberg; DE
Stampato / Fatto in
Peso: 1,460 kg
Lingua: Inglese
106,99 € (DE)
109,99 € (AT)
118,00 CHF (CH)
POD
XXVII, 838 p.
BB; Finance, general; Hardcover, Softcover / Wirtschaft/Betriebswirtschaft; Finanzenwesen und Finanzindustrie; Verstehen; Management; Banking; Basel II; Budgeting; Change; Finance; Hedging; Investment; Manager; Private Equity; business; calculus; conflict; innovation; management; strategy; quantitative finance; Quantitative Finance; Management; Financial Economics; Mathematics in Business, Economics and Finance; Management; Angewandte Mathematik; Wirtschaftswissenschaft, Finanzen, Betriebswirtschaft und Management; Management und Managementtechniken; BB; EA
Bank Risk Management.- Basel II and the Effects on the Banking Sector.- Conflicts of Interest and Market Discipline in Financial Services Firms.- Risk Management and Value Creation in Banks.- The New Basel Capital Accord.- Value at Rist: Regulatory and Other Applications, Methods, and Criticism.- Parsimonious Value at Risk for Fixed Income Portfolios.- Risk Budgeting with Value at Risk Limits.- Value at Risk, Bank Equity and Credit Risk.- Parametric and Nonparametric Estimation of Conditional Return Expectations.- Credit Risk Portfolio Modeling: An Overview.- Evaluating Credit Risk Models.- Estimation of Default Probabilities and Default Correlations.- Managing Investment Risks of Institutional Private Equity Investors — The Challenge of Illiquidity.- Assessment of Operational Risk Capital.- Operational Risk: The Management Perspective.- Insurance Risk Management.- Catastrophic Events as Threats to Society: Private and Public Risk Management Strategies.- New Approaches to Managing Catastrophic Insurance Risk.- Alternative Risk Transfer.- The Challenge of Managing Longevity Risk.- Asset/Liability Management of German Life Insurance Companies: A Value-at-Risk Approach in the Presence of Interest Rate Guarantees.- Corporate Risk Management.- Risk Management, Corporate Governance and the Public Corporation.- Integrating Corporate Risk Management.- Value-Based Motives for Corporate Risk Management.- Value-Based Corporate Risk Management.- Statutory Regulation of the Risk Management Function in Germany: Implementation Issues for the Non-Financial Sector.- A Comprehensive Approach to the Measurement of Macroeconomic Exposure.- Foreign-Exchange-Risk Management in German Non-Financial Corporations: An Empirical Analysis.- Estimating the Exchange Rate Exposure of US Multinational Firms: Evidence from an Event Study Methodology.- International Corporate Risk Management: A Comparison of Three Major Airlines.- Corporate Risk Management: Real Options and Financial Hedging.- The Real Option Value of Operational and Managerial Flexibility in Global Supply Chain Networks.- Managing Acquisition-Related Currency Risk Exposures: The E.ON-Powergen Case.- Introducing New Risk Classes to Organized Exchanges: The Case of Electricity Derivatives.- Was Enron’s Business Model Fundamentally Flawed?.- “Real” Risk Management: Opportunities and Limits of Consumption-Based Strategies.- Capacity Options: Convergence of Supply Chain Management and Financial Asset Management.- Systemic Issues of Risk Management.- The Key to Risk Management: Management.- Economic Risks of EMU.- Does Risk Management Make Financial Markets Riskier?.- Risk Management, Rational Herding and Institutional Investors: A Macro View.- Revitalization of Japanese Banks: Japan’s Big Bang Reform.Altri libri che potrebbero essere simili a questo:
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