"Modelling and Measuring Operational Risk" ist das einzige Buch auf dem Markt, das sich ausschließlich der quantitativen Messung und Modellierung des Betriebsrisikos widmet. Hierzu gehören z.B. Fehler bei der Transaktionsbearbeitung, Haftungssituationen und Fehler im Back-Office. Dieser Band erläutert Mess- und Modellierungstechniken, die Banken und Investmentfirmen für die Quantifizierung des Betriebsrisikos benötigen und beschreibt gleichzeitig eine Fülle praktischer und vernünftiger Lösungsmöglichkeiten an. Mit zahlreichen Fallskizzen und Beispielen aus der Praxis. Autor Marcelo Cruz ist ein führender Experte auf diesem Gebiet.
Le informazioni nella sezione "Riassunto" possono far riferimento a edizioni diverse di questo titolo.
DR MARCELO CRUZ is currently CEO and founder of RiskMaths, a boutique consultancy specialising in the development and validation of complex mathematical and statistical models for risk management, financial asset pricing, capital allocation and financial management strategy. RiskMaths has a particular focus on operational risk modeling, measurement and hedging with a client base that includes large global financial institutions and financial regulators. Dr Cruz participates in the regulatory discussions on the new Basel Accord and was a member of the Industry Technical Working Group that proposed the changes on the regulatory capital charges to the Basel Committee on Banking Supervision. Prior to RiskMaths, Dr Cruz worked as a senior executive in the risk management area for various global investment banks and led the development of operational risk quantitative modeling for a large European bank. He has also worked as a senior derivatives trader and structurer.
Dr Cruz regularly writes for several academic and industry journals and magazines including The Journal of Risk, RISK magazine, the Financial Times and Derivatives Week. He has also contributed to several risk management books, the most recent of which include 'Extremes and Integrated Risk Management', 'Managing Hedge Fund Risk', 'Mastering Risk, Volume 2' and 'Advances in Operational Risk: Firmwide Issues for Financial Institutions'. Dr Cruz is a sought-after speaker in risk management conferences and seminars and had lectured in many countries in Europe, Asia and the Americas as well as leading universities in Europe, USA and Latin America. He holds a Ph.D. in Mathematical Finance, a M.Sc., M.B.A., Diploma and a B.Sc. in Economics.
The interest in operational risk has evolved exponentially in the last few years. Up until the Barings Bank collapse in 1995, the term had never been used. Dr Marcelo Cruz is one of the first people to attempt to explain clearly and technically the patterns of this new risk. He has been lecturing on operational risk since 1997 and wrote one of the first academic articles on it, in 1998.
Written in a clear and accessible manner, Modeling, Measuring and Hedging Operational Risk is essential reading for all those concerned with this evolving area of risk.
Le informazioni nella sezione "Su questo libro" possono far riferimento a edizioni diverse di questo titolo.
Da: Gulf Coast Books, Cypress, TX, U.S.A.
hardcover. Condizione: Good. Codice articolo 0471515604-3-37710895
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Hardcover. Condizione: Used; Very Good. ***Simply Brit*** Welcome to our online used book store, where affordability meets great quality. Dive into a world of captivating reads without breaking the bank. We take pride in offering a wide selection of used books, from classics to hidden gems, ensuring there is something for every literary palate. All orders are shipped within 24 hours and our lightning fast-delivery within 48 hours coupled with our prompt customer service ensures a smooth journey from ordering to delivery. Discover the joy of reading with us, your trusted source for affordable books that do not compromise on quality. Codice articolo 3937686
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Da: Rarewaves.com USA, London, LONDO, Regno Unito
Hardback. Condizione: New. 1st. "Modelling and Measuring Operational Risk" ist das einzige Buch auf dem Markt, das sich ausschließlich der quantitativen Messung und Modellierung des Betriebsrisikos widmet. Hierzu gehören z.B. Fehler bei der Transaktionsbearbeitung, Haftungssituationen und Fehler im Back-Office. Dieser Band erläutert Mess- und Modellierungstechniken, die Banken und Investmentfirmen für die Quantifizierung des Betriebsrisikos benötigen und beschreibt gleichzeitig eine Fülle praktischer und vernünftiger Lösungsmöglichkeiten an. Mit zahlreichen Fallskizzen und Beispielen aus der Praxis. Autor Marcelo Cruz ist ein führender Experte auf diesem Gebiet. Codice articolo LU-9780471515609
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