Fr. 115.00

Handbook of Applied Risk Measurement

English · Paperback / Softback

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Description

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A comprehensive, on-stop guide to risk measurement tools and techniques

The Handbook of Risk Measurement is a one-stop guide to the measurement of key financial risks in firms. It schools readers in basic risk measurement concepts and techniques while showing them how to apply them. It begins with an in-depth look at one of the most important components of risk measurement--data sources. It then takes readers though every stage of the risk measurement process, describing the range of tools that can be applied at each stage. The book goes on to examine risk processes, risk models, linear and non-linear correlation, and stress testing, and it provides numerous validation and approximation techniques. Throughout, the author points out the strengths and weaknesses of the risk models and processes described as well as important factors to consider when using them to perform risk measurements.
Provides detailed coverage of risk modeling for each risk group: market, credit, operational, liquidity, and insurance risk
Features case studies on real-world transactions and risk failures, illustrating the vital importance of correctly choosing and implementing risk models
Explores important lessons learned from the financial crises and the future direction of the financial industry

Summary

A comprehensive, on-stop guide to risk measurement tools and techniques The Handbook of Risk Measurement is a one-stop guide to the measurement of key financial risks in firms. It schools readers in basic risk measurement concepts and techniques while showing them how to apply them.

Product details

Authors Mohan Bhatia, Bhatia Mohan
Publisher Wiley, John and Sons Ltd
 
Languages English
Product format Paperback / Softback
Released 01.03.2013
 
EAN 9780470665428
ISBN 978-0-470-66542-8
No. of pages 800
Series Wiley Finance
The Wiley Finance Series
Wiley Finance
The Wiley Finance Series
Subjects Social sciences, law, business > Business > General, dictionaries

Risikomanagement, Finanzwesen, Finance & Investments, Finanz- u. Anlagewesen, Insurance & Risk Management, Versicherungswesen u. Risikomanagement

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