Fr. 96.00

Risk Management in Banks and Insurance Companies - Step by Step

Inglese · Tascabile

Spedizione di solito entro 1 a 2 settimane (il titolo viene stampato sull'ordine)

Descrizione

Ulteriori informazioni

This book shows how modern risk management in banks and insurance companies can be modeled in Excel and Matlab. Readers are provided with all the necessary knowledge and skills in a systematic and structured step-by-step manner. Apart from basic Excel knowledge, no previous knowledge is required. The textbook is divided into five parts. First, the reader learns the basics of analyzing and modeling market risks. Next, the authors introduce and explain the modeling of credit risks and operational risks are quantified by calibrating loss distributions based on expert estimates. Furthermore, individual risk measures are examined in more detail. In order to calculate a risk measure for an overall portfolio to determine the risk capital, the question of the aggregation method is discussed. There are various common concepts for this, which are examined in more detail in the last part of the book.
The book is aimed at students of business administration with a focus on financial services. Accompanying the book, readers receive Excel spreadsheets as digital bonus material for practice and application.

Sommario

Introduction.- Course 1: market risks.- Course 2: credit risks.- Course 3: operational risks.- Course 4: risk management.- Course 5: aggregation.

Info autore










Anja Bettina Blatter is Professor of Quantitative Methods in Finance at the Nuertingen-Geislingen University (HfWU), Germany.

Sean Bradbury is a lecturer in Empirical at the Nuertingen-Geislingen University (HfWU), Germany

Pascal Bruhn is a lecturer in the master program International Finance at the Nuertingen-Geislingen University (HfWU), Germany

Prof. Dr. Dr. Dietmar Ernst is Professor of International Finance at the Nuertingen-Geislingen University (HfWU), Germany, and Director of the European Institute of Quantitative Finance (EIQF).



Dettagli sul prodotto

Autori Anja Blatter, Sean Bradbury, Pascal Bruhn, Pascal et al Bruhn, Dietmar Ernst
Editore Springer, Berlin
 
Titolo originale Risikomanagement bei Banken und Versicherungen Schritt für Schritt
Lingue Inglese
Formato Tascabile
Pubblicazione 11.08.2025
 
EAN 9783031428388
ISBN 978-3-0-3142838-8
Pagine 215
Illustrazioni VII, 215 p. 124 illus., 89 illus. in color.
Serie Springer Texts in Business and Economics
Categoria Scienze sociali, diritto, economia > Economia > Economia aziendale

Recensioni dei clienti

Per questo articolo non c'è ancora nessuna recensione. Scrivi la prima recensione e aiuta gli altri utenti a scegliere.

Scrivi una recensione

Top o flop? Scrivi la tua recensione.

Per i messaggi a CeDe.ch si prega di utilizzare il modulo di contatto.

I campi contrassegnati da * sono obbligatori.

Inviando questo modulo si accetta la nostra dichiarazione protezione dati.