Anja blatter (33 risultati)

- Rilegato
Da: medimops, Berlin, Germaniamedimops
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EUR 29,81
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Condizione: good. Befriedigend/Good: Durchschnittlich erhaltenes Buch bzw. Schutzumschlag mit Gebrauchsspuren, aber vollständigen Seiten. / Describes the average WORN book or dust jacket that has all the pages present.

- Rilegato
Da: medimops, Berlin, Germaniamedimops
Contatta il venditoreVenditore con 5 stelleCondizione: Usato - Molto buono
EUR 31,29
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Condizione: very good. Gut/Very good: Buch bzw. Schutzumschlag mit wenigen Gebrauchsspuren an Einband, Schutzumschlag oder Seiten. / Describes a book or dust jacket that does show some signs of wear on either the binding, dust jacket or pages.

- Brossura
Da: Chiron Media, Wallingford, Regno UnitoChiron Media
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EUR 27,64
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Paperback. Condizione: New.

- Brossura
Da: Antiquariat Logos, München, GermaniaAntiquariat Logos
Contatta il venditoreVenditore con 5 stelleCondizione: Usato
EUR 18,50
EUR 29,90 spedizioneSpedito da Germania a U.S.A.Quantità: 1 disponibili
Kl.-4°, Brosch. 217 S.; mit 110 farb. Abb., Tab. u. Grafiken. Neuwertiges Ex. // Das Buch zeigt, wie modernes Risikomanagement bei Banken und Versicherungen in Excel und Matlab modelliert werden kann. Die Leser:innen werden systematisch und strukturiert Schritt für Schritt mit allen notwendigen Kenntnissen und Kompetenzen versor…gt. Außer grundlegenden Excel-Kenntnissen sind keine Vorkenntnisse erforderlich. Das Werk ist in 4 Teile gegliedert: In Course 1 lernt man die Grundlagen zur Analyse und Modellierung von Marktrisiken kennen. In Course 2 wird die Modellierung von Kreditrisiken eingeführt. In Course 3 werden operationelle Risiken quantifiziert, indem Schadensverteilungen aufgrund von Expertenschätzungen kalibriert werden. Danach werden in Course 4 einzelne Risikomaße näher beleuchtet. Zur Berechnung eines Risikomaßes für ein Gesamtportfolio zur Bestimmung des Risikokapitals muss die Frage nach der Aggregationsmethode diskutiert werden. Hierfür gibt es verschiedene gängige Konzepte, die in Course 5 genauer betrachtet werden. Das Buch richtet sich an Studierende betriebswirtschaftlicher Studiengänge mit Schwerpunkt Finanzdienstleister. ISBN: 9783825260026 Sprache: Deutsch Gewicht in Gramm: 544.

Risikomanagement bei Banken und Versicherungen Schritt für Schritt: Arbeitsbuch
Blatter, Anja/ Bradbury, Sean/ Bruhn, Pascal/ Ernst, Dietmar
- Brossura
Da: Revaluation Books, Exeter, Regno UnitoRevaluation Books
Contatta il venditoreVenditore con 5 stelleCondizione: Nuovo
EUR 38,19
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Paperback. Condizione: Brand New. German language. 10.43x7.68x0.71 inches. In Stock.

Risk Management in Banks and Insurance Companies: Step by Step (Springer Texts in Business and Economics)
Blatter, Anja; Bradbury, Sean; Bruhn, Pascal; Ernst, Dietmar
- Brossura
Da: Books Puddle, New York, U.S.A.Books Puddle
Contatta il venditoreVenditore con 4 stelleCondizione: Nuovo
EUR 115,07
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Condizione: New.

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Da: Rheinberg-Buch Andreas Meier eK, Bergisch Gladbach, GermaniaRheinberg-Buch Andreas Meier eK
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EUR 29,00
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Taschenbuch. Condizione: Neu. Neuware 217 pp. Deutsch.

- Brossura
Da: BuchWeltWeit Ludwig Meier e.K., Bergisch Gladbach, GermaniaBuchWeltWeit Ludwig Meier e.K.
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EUR 29,00
EUR 23,00 spedizioneSpedito da Germania a U.S.A.Quantità: 1 disponibili
Taschenbuch. Condizione: Neu. Neuware 217 pp. Deutsch.

- Rilegato
Da: Chiron Media, Wallingford, Regno UnitoChiron Media
Contatta il venditoreVenditore con 5 stelleCondizione: Nuovo
EUR 35,94
EUR 17,93 spedizioneSpedito da Regno Unito a U.S.A.Quantità: 20 disponibili
hardcover. Condizione: New.

- Brossura
Da: Wegmann1855, Zwiesel, GermaniaWegmann1855
Contatta il venditoreVenditore con 5 stelleCondizione: Nuovo
EUR 29,00
EUR 25,95 spedizioneSpedito da Germania a U.S.A.Quantità: 1 disponibili
Taschenbuch. Condizione: Neu. Neuware -Das Buch zeigt, wie modernes Risikomanagement bei Banken und Versicherungen in Excel und Matlab modelliert werden kann. Die Leser:innen werden systematisch und strukturiert Schritt für Schritt mit allen notwendigen Kenntnissen und Kompetenzen versorgt. Außer grundlegenden Excel-Kenntnissen…sind keine Vorkenntnisse erforderlich.Das Werk ist in 4 Teile gegliedert: In Course 1 lernt man die Grundlagen zur Analyse und Modellierung von Marktrisiken kennen. In Course 2 wird die Modellierung von Kreditrisiken eingeführt. In Course 3 werden operationelle Risiken quantifiziert, indem Schadensverteilungen aufgrund von Expertenschätzungen kalibriert werden. Danach werden in Course 4 einzelne Risikomaße näher beleuchtet. Zur Berechnung eines Risikomaßes für ein Gesamtportfolio zur Bestimmung des Risikokapitals muss die Frage nach der Aggregationsmethode diskutiert werden. Hierfür gibt es verschiedene gängige Konzepte, die in Course 5 genauer betrachtet werden.Das Buch richtet sich an Studierende betriebswirtschaftlicher Studiengänge mit Schwerpunkt Finanzdienstleister.

Risk Management in Banks and Insurance Companies: Step by Step (Springer Texts in Business and Economics)
Blatter, Anja; Bradbury, Sean; Bruhn, Pascal; Ernst, Dietmar
Lingua: Inglese
Editore: Springer 2024
Serie: Springer Texts in Business and Economics, Libro 153 di 190. Libro 153 di 190 - Springer Texts in Business and Economics
- Rilegato
Da: Books Puddle, New York, U.S.A.Books Puddle
Contatta il venditoreVenditore con 4 stelleCondizione: Nuovo
EUR 145,65
EUR 3,46 spedizioneSpedito in U.S.A.Quantità: 4 disponibili
Condizione: New.

- Brossura
Da: preigu, Osnabrück, Germaniapreigu
Contatta il venditoreVenditore con 5 stelleCondizione: Nuovo
EUR 75,65
EUR 70,00 spedizioneSpedito da Germania a U.S.A.Quantità: 5 disponibili
Taschenbuch. Condizione: Neu. Risk Management in Banks and Insurance Companies | Step by Step | Anja Blatter (u. a.) | Taschenbuch | Springer Texts in Business and Economics | vii | Englisch | 2025 | Springer | EAN 9783031428388 | Verantwortliche Person für die EU: Springer Verlag GmbH, Tiergartenstr. 17, 69121 Heidelberg, juerg…en[dot]hartmann[at]springer[dot]com | Anbieter: preigu.

- Brossura
Da: AHA-BUCH GmbH, Einbeck, GermaniaAHA-BUCH GmbH
Contatta il venditoreVenditore con 5 stelleCondizione: Nuovo
EUR 85,59
EUR 61,74 spedizioneSpedito da Germania a U.S.A.Quantità: 1 disponibili
Taschenbuch. Condizione: Neu. Druck auf Anfrage Neuware - Printed after ordering - 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 E…xcel 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.

Lingua: Inglese
Editore: Springer, Springer 2024
Serie: Springer Texts in Business and Economics, Libro 153 di 190. Libro 153 di 190 - Springer Texts in Business and Economics
- Rilegato
Da: AHA-BUCH GmbH, Einbeck, GermaniaAHA-BUCH GmbH
Contatta il venditoreVenditore con 5 stelleCondizione: Nuovo
EUR 117,69
EUR 62,53 spedizioneSpedito da Germania a U.S.A.Quantità: 1 disponibili
Buch. Condizione: Neu. Druck auf Anfrage Neuware - Printed after ordering - 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 kn…owledge, 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.

- Rilegato
Da: Revaluation Books, Exeter, Regno UnitoRevaluation Books
Contatta il venditoreVenditore con 5 stelleCondizione: Nuovo
EUR 46,69
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Hardcover. Condizione: Brand New. 352 pages. German language. 6.89x0.94x9.76 inches. In Stock.

- Brossura
Da: moluna, Greven, Germaniamoluna
Contatta il venditoreVenditore con 5 stelleCondizione: Nuovo
EUR 29,00
EUR 48,99 spedizioneSpedito da Germania a U.S.A.Quantità: 3 disponibili
Condizione: New. Das Buch zeigt, wie modernes Risikomanagement bei Banken und Versicherungen in Excel und Matlab modelliert werden kann. Die Leser:innen werden systematisch und strukturiert Schritt fuer Schritt mit allen notwendigen Kenntnissen und Kompetenzen versorgt. Ausse.

- Rilegato
Da: moluna, Greven, Germaniamoluna
Contatta il venditoreVenditore con 5 stelleCondizione: Nuovo
EUR 34,95
EUR 48,99 spedizioneSpedito da Germania a U.S.A.Quantità: 2 disponibili
Gebunden. Condizione: New.

- Brossura
Da: buchversandmimpf2000, Emtmannsberg, Germaniabuchversandmimpf2000
Contatta il venditoreVenditore con 5 stelleCondizione: Nuovo
EUR 29,00
EUR 60,00 spedizioneSpedito da Germania a U.S.A.Quantità: 1 disponibili
Taschenbuch. Condizione: Neu. Neuware -Das Buch zeigt, wie modernes Risikomanagement bei Banken und Versicherungen in Excel und Matlab modelliert werden kann. Die Leser:innen werden systematisch und strukturiert Schritt für Schritt mit allen notwendigen Kenntnissen und Kompetenzen versorgt. Außer grundlegenden Excel-Kenntnissen…sind keine Vorkenntnisse erforderlich.Das Werk ist in 4 Teile gegliedert: In Course 1 lernt man die Grundlagen zur Analyse und Modellierung von Marktrisiken kennen. In Course 2 wird die Modellierung von Kreditrisiken eingeführt. In Course 3 werden operationelle Risiken quantifiziert, indem Schadensverteilungen aufgrund von Expertenschätzungen kalibriert werden. Danach werden in Course 4 einzelne Risikomaße näher beleuchtet. Zur Berechnung eines Risikomaßes für ein Gesamtportfolio zur Bestimmung des Risikokapitals muss die Frage nach der Aggregationsmethode diskutiert werden. Hierfür gibt es verschiedene gängige Konzepte, die in Course 5 genauer betrachtet werden.Das Buch richtet sich an Studierende betriebswirtschaftlicher Studiengänge mit Schwerpunkt Finanzdienstleister.UTB GmbH, Industriestr. 2, 70565 Stuttgart 217 pp. Deutsch.

- Brossura
Da: AHA-BUCH GmbH, Einbeck, GermaniaAHA-BUCH GmbH
Contatta il venditoreVenditore con 5 stelleCondizione: Nuovo
EUR 29,00
EUR 62,67 spedizioneSpedito da Germania a U.S.A.Quantità: Più di 20 disponibili
Taschenbuch. Condizione: Neu. Neuware.

- Brossura
Da: primatexxt Buchversand, München, Germaniaprimatexxt Buchversand
Contatta il venditoreVenditore con 5 stelleCondizione: Usato - Ottimo
EUR 16,80
EUR 75,00 spedizioneSpedito da Germania a U.S.A.Quantità: 3 disponibili
Broschiert. Condizione: Sehr gut. 217 Seiten Leichte äußere Mängel - Buch ist als Mängelexemplar gekennzeichnet - Buch ansonsten in sehr gutem und ungelesenem Zustand - Jeder Lieferung liegt eine ordentliche Rechnung mit ausgewiesener MwSt. bei Sprache: Deutsch Gewicht in Gramm: 600.

- Brossura
Da: preigu, Osnabrück, Germaniapreigu
Contatta il venditoreVenditore con 5 stelleCondizione: Nuovo
EUR 29,00
EUR 70,00 spedizioneSpedito da Germania a U.S.A.Quantità: 1 disponibili
Taschenbuch. Condizione: Neu. Risikomanagement bei Banken und Versicherungen Schritt für Schritt | Arbeitsbuch | Anja Blatter (u. a.) | Taschenbuch | Schritt für Schritt (UTB) | 217 S. | Deutsch | 2023 | UTB GmbH | EAN 9783825260026 | Verantwortliche Person für die EU: UVK Verlag - Ein Unternehmen der Narr Francke Attempto Verla…, Dischingerweg 5, 72070 Tübingen, info[at]narr[dot]de | Anbieter: preigu.

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- Print on Demand
Da: Brook Bookstore On Demand, Napoli, ItaliaBrook Bookstore On Demand
Contatta il venditoreVenditore con 3 stelleCondizione: Nuovo
EUR 70,24
EUR 5,50 spedizioneSpedito da Italia a U.S.A.Quantità: Più di 20 disponibili
Condizione: new. Questo è un articolo print on demand.

- Brossura
- Print on Demand
Da: BuchWeltWeit Ludwig Meier e.K., Bergisch Gladbach, GermaniaBuchWeltWeit Ludwig Meier e.K.
Contatta il venditoreVenditore con 5 stelleCondizione: Nuovo
EUR 85,59
EUR 23,00 spedizioneSpedito da Germania a U.S.A.Quantità: 2 disponibili
Taschenbuch. Condizione: Neu. This item is printed on demand - it takes 3-4 days longer - Neuware -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. Ap…art 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. 224 pp. Englisch.

Risk Management in Banks and Insurance Companies: Step by Step (Springer Texts in Business and Economics)
Blatter, Anja; Bradbury, Sean; Bruhn, Pascal; Ernst, Dietmar
- Brossura
- Print on Demand
Da: Majestic Books, Hounslow, Regno UnitoMajestic Books
Contatta il venditoreVenditore con 4 stelleCondizione: Nuovo
EUR 117,89
EUR 7,52 spedizioneSpedito da Regno Unito a U.S.A.Quantità: 4 disponibili
Condizione: New. Print on Demand.

Risk Management in Banks and Insurance Companies
Blatter, Anja; Bradbury, Sean; Bruhn, Pascal; Ernst, Dietmar
- Brossura
- Print on Demand
Da: moluna, Greven, Germaniamoluna
Contatta il venditoreVenditore con 5 stelleCondizione: Nuovo
EUR 72,89
EUR 48,99 spedizioneSpedito da Germania a U.S.A.Quantità: Più di 20 disponibili
Condizione: New. Dieser Artikel ist ein Print on Demand Artikel und wird nach Ihrer Bestellung fuer Sie gedruckt.

Risk Management in Banks and Insurance Companies: Step by Step (Springer Texts in Business and Economics)
Blatter, Anja; Bradbury, Sean; Bruhn, Pascal; Ernst, Dietmar
- Brossura
- Print on Demand
Da: Biblios, frankfurt am main, GermaniaBiblios
Contatta il venditoreVenditore con 4 stelleCondizione: Nuovo
EUR 118,01
EUR 9,95 spedizioneSpedito da Germania a U.S.A.Quantità: 4 disponibili
Condizione: New. PRINT ON DEMAND.

Lingua: Inglese
Editore: Springer, Springer Jul 2024 2024
Serie: Springer Texts in Business and Economics, Libro 153 di 190. Libro 153 di 190 - Springer Texts in Business and Economics
- Rilegato
- Print on Demand
Da: BuchWeltWeit Ludwig Meier e.K., Bergisch Gladbach, GermaniaBuchWeltWeit Ludwig Meier e.K.
Contatta il venditoreVenditore con 5 stelleCondizione: Nuovo
EUR 117,69
EUR 23,00 spedizioneSpedito da Germania a U.S.A.Quantità: 2 disponibili
Buch. Condizione: Neu. This item is printed on demand - it takes 3-4 days longer - Neuware -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 fro…m 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. 224 pp. Englisch.

- Brossura
- Print on Demand
Da: buchversandmimpf2000, Emtmannsberg, Germaniabuchversandmimpf2000
Contatta il venditoreVenditore con 5 stelleCondizione: Nuovo
EUR 85,59
EUR 60,00 spedizioneSpedito da Germania a U.S.A.Quantità: 1 disponibili
Taschenbuch. Condizione: Neu. This item is printed on demand - Print on Demand Titel. Neuware -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.Springer-Verlag KG, Sachsenplatz 4-6, 1201 Wien 224 pp. Englisch.

Lingua: Inglese
Editore: Springer, Berlin|Springer Nature Switzerland|UTB GmbH|Springer 2023
Serie: Springer Texts in Business and Economics, Libro 153 di 190. Libro 153 di 190 - Springer Texts in Business and Economics
- Rilegato
- Print on Demand
Da: moluna, Greven, Germaniamoluna
Contatta il venditoreVenditore con 5 stelleCondizione: Nuovo
EUR 98,54
EUR 48,99 spedizioneSpedito da Germania a U.S.A.Quantità: Più di 20 disponibili
Gebunden. Condizione: New. Dieser Artikel ist ein Print on Demand Artikel und wird nach Ihrer Bestellung fuer Sie gedruckt. 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 structure…d step-by-step manner. Apart from basic Excel kn.

Risk Management in Banks and Insurance Companies: Step by Step (Springer Texts in Business and Economics)
Blatter, Anja; Bradbury, Sean; Bruhn, Pascal; Ernst, Dietmar
Lingua: Inglese
Editore: Springer 2024
Serie: Springer Texts in Business and Economics, Libro 153 di 190. Libro 153 di 190 - Springer Texts in Business and Economics
- Rilegato
- Print on Demand
Da: Majestic Books, Hounslow, Regno UnitoMajestic Books
Contatta il venditoreVenditore con 4 stelleCondizione: Nuovo
EUR 160,41
EUR 7,52 spedizioneSpedito da Regno Unito a U.S.A.Quantità: 4 disponibili
Condizione: New. Print on Demand.