Da: ThriftBooks-Atlanta, AUSTELL, GA, U.S.A.
Hardcover. Condizione: Good. No Jacket. Pages can have notes/highlighting. Spine may show signs of wear. ~ ThriftBooks: Read More, Spend Less.
Condizione: Good. shelf wear, hardcover Used - Good 1999 Volume 1 All purchases support Project HOME - ending homelessness in Philadelphia.
Da: HPB-Red, Dallas, TX, U.S.A.
hardcover. Condizione: Good. Connecting readers with great books since 1972! Used textbooks may not include companion materials such as access codes, etc. May have some wear or writing/highlighting. We ship orders daily and Customer Service is our top priority!
Da: WorldofBooks, Goring-By-Sea, WS, Regno Unito
EUR 4,62
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Aggiungi al carrelloHardback. Condizione: Very Good. The book has been read, but is in excellent condition. Pages are intact and not marred by notes or highlighting. The spine remains undamaged.
Da: Bookbot, Prague, Repubblica Ceca
EUR 7,77
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Aggiungi al carrelloHardcover. Condizione: Fair. Ohne Umschlag; Aus Bibliothek aussortiert; Leichte Rillen / Abschürfungen / Risse / Knicke. In the two years since the previous publication, interest in managing, modeling, and controlling financial risks has surged. The editor has created two companion volumes, with only a third of the original material retained. This volume is organized into four parts: the first three chapters explore standard methods for measuring and modeling financial risk from a risk manager's perspective, while Chapters 4 and 5 focus on quantitative risk analysts responsible for implementing these systems. Chapters 6 and 7 address critical issues in IT and systems design, and the final chapters discuss pricing and risk management of credit-risky products. Contributions come from leading experts in the field, including Michel Crouhy, Dan Galai, and Robert Mark, among others. The importance of risk management has grown for financial institutions, fund managers, and corporate treasurers, shifting the focus of top quantitative analysts from exotic derivatives to risk management. This volume compiles nine articles on various aspects of risk management and analysis, covering topics such as the regulatory framework, volatility and correlation models, value at risk, and credit risk, making it a valuable reference for market participants and students alike.
Da: SN Books Ltd, Thetford, Regno Unito
EUR 12,40
Quantità: 1 disponibili
Aggiungi al carrellohardcover. Condizione: Very Good. Orders shipped daily from the UK. Professional seller.
Da: Anybook.com, Lincoln, Regno Unito
EUR 17,22
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Aggiungi al carrelloCondizione: Good. Volume 1. This is an ex-library book and may have the usual library/used-book markings inside.This book has hardback covers. In good all round condition. Dust jacket in good condition. Please note the Image in this listing is a stock photo and may not match the covers of the actual item,750grams, ISBN:9780471979579.
Hardcover. Condizione: new. New Copy. Customer Service Guaranteed.
Da: SHIMEDIA, Brooklyn, NY, U.S.A.
Condizione: New. Satisfaction Guaranteed or your money back.
EUR 106,27
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Aggiungi al carrelloHRD. Condizione: New. New Book. Shipped from UK. Established seller since 2000.
Da: GreatBookPrices, Columbia, MD, U.S.A.
EUR 113,13
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Aggiungi al carrelloCondizione: New.
Da: Brook Bookstore On Demand, Napoli, NA, Italia
EUR 106,38
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Da: GreatBookPrices, Columbia, MD, U.S.A.
EUR 116,23
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Aggiungi al carrelloCondizione: As New. Unread book in perfect condition.
Da: GreatBookPricesUK, Woodford Green, Regno Unito
EUR 106,26
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Da: Ria Christie Collections, Uxbridge, Regno Unito
EUR 112,29
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Da: Versandantiquariat Karsten Buchholz, Grönwohld, SH, Germania
EUR 68,00
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Aggiungi al carrelloHardcover. Condizione: Gut. Schutzumschlag. Aus der Reihe Financial Engineering. In englischer Sprache. Hardcover, gebunden, Schutzumschlag, 281 Seiten, Gebrauchsspuren Der Versand kann in Deutschland auch auf Rechnung erfolgen (Vorauskasse vorbehalten).
Da: GreatBookPricesUK, Woodford Green, Regno Unito
EUR 125,16
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Aggiungi al carrelloCondizione: As New. Unread book in perfect condition.
EUR 139,44
Quantità: 3 disponibili
Aggiungi al carrelloCondizione: New. pp. 304.
Da: THE SAINT BOOKSTORE, Southport, Regno Unito
EUR 125,48
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Aggiungi al carrelloHardback. Condizione: New. New copy - Usually dispatched within 4 working days.
Da: Kennys Bookshop and Art Galleries Ltd., Galway, GY, Irlanda
Prima edizione
EUR 141,03
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Aggiungi al carrelloCondizione: New. This revised edition concentrates on the techniques of risk measurement and their implementation in the management of risk. It is developed from the first edition, "Handbook of Risk Management and Analysis", with five new chapters. Series: Wiley Series in Financial Engineering. Num Pages: 304 pages, illustrations. BIC Classification: KFFM; KJMV1; PBW. Category: (P) Professional & Vocational; (UP) Postgraduate, Research & Scholarly; (UU) Undergraduate. Dimension: 250 x 178 x 23. Weight in Grams: 684. . 1999. Rev ed. Hardcover. . . . .
Condizione: New. pp. 304.
EUR 124,57
Quantità: Più di 20 disponibili
Aggiungi al carrelloGebunden. Condizione: New. In what started as a second edition of the well received Handbook of Risk Management and Analysis, Carol Alexander has taken up the challenge of the increasing complexity of today s markets by selecting additional material to cover new aspects of risk mode.
Da: Kennys Bookstore, Olney, MD, U.S.A.
EUR 176,64
Quantità: Più di 20 disponibili
Aggiungi al carrelloCondizione: New. This revised edition concentrates on the techniques of risk measurement and their implementation in the management of risk. It is developed from the first edition, "Handbook of Risk Management and Analysis", with five new chapters. Series: Wiley Series in Financial Engineering. Num Pages: 304 pages, illustrations. BIC Classification: KFFM; KJMV1; PBW. Category: (P) Professional & Vocational; (UP) Postgraduate, Research & Scholarly; (UU) Undergraduate. Dimension: 250 x 178 x 23. Weight in Grams: 684. . 1999. Rev ed. Hardcover. . . . . Books ship from the US and Ireland.
Da: AHA-BUCH GmbH, Einbeck, Germania
EUR 153,82
Quantità: 2 disponibili
Aggiungi al carrelloBuch. Condizione: Neu. Neuware - - Developed from Parts 2 and 3 of the highly successful first edition Handbook of Risk Management and Analysis.- Five entirely new chapters and all others fully updated.- Contributors are all high-profile names providing cutting-edge ideas and techniques.- Practical-based text with state of the art techniques illustrated in clear examples and case studies.- Set to become the definitive text on the markets and products associated with risk management.
Da: Revaluation Books, Exeter, Regno Unito
EUR 220,79
Quantità: 2 disponibili
Aggiungi al carrelloHardcover. Condizione: Brand New. subsequent edition. 281 pages. 10.00x7.00x1.00 inches. In Stock.
Da: THE SAINT BOOKSTORE, Southport, Regno Unito
EUR 131,48
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Aggiungi al carrelloHardback. Condizione: New. This item is printed on demand. New copy - Usually dispatched within 5-9 working days 714.
Da: Revaluation Books, Exeter, Regno Unito
EUR 149,50
Quantità: 2 disponibili
Aggiungi al carrelloHardcover. Condizione: Brand New. subsequent edition. 281 pages. 10.00x7.00x1.00 inches. In Stock. This item is printed on demand.
Lingua: Inglese
Editore: John Wiley & Sons Inc, New York, 1998
ISBN 10: 0471979570 ISBN 13: 9780471979579
Da: CitiRetail, Stevenage, Regno Unito
EUR 120,83
Quantità: 1 disponibili
Aggiungi al carrelloHardcover. Condizione: new. Hardcover. Risk Management and Analysis, Volume 1: Measuring and Modelling Financial RiskEdited by Carol Alexander In the two years since the publication of The Handbook of Risk Management and Analysis interest and the practice of management, modelling and control of financial risks has grown enormously. The author/editor has produced two stand-alone or companion volumes. Only one third of the original material remains. Measuring and Modelling Financial Risk has been structured in four parts: the first three chapters survey standard approaches to measuring and modelling financial risk from the risk manager perspective, Chapters 4 and 5 are aimed primarily at quantitative risk analysts whose job it is to put the systems in place. Chapters 6 and 7 discuss important issues in IT and systems design, and the last two chapters cover pricing and risk management of credit-risky products. Leading figures in the field contribute: Michel Crouhy, Dan Galai and Robert Mark, Stan Beckers, Thomas Wilson, Mark Broadie and Paul Glasserman, Nigel Webb, Ron Dembo, Robert Jarrow and Stuart Turnbull, and Lee Wakeman. "Risk management is becoming an increasingly important activity for financial institutions, fund managers, and corporate treasurers. It used to be the case that the brightest 'quants' were used to design and value ever-more-exotic derivatives. Now increasingly they are finding that their talents can best be put to work in risk management. In this volume Carol Alexander has gathered together nine articles concerned with different aspects of risk management and analysis. The topics covered include the regulatory framework, volatility and correlation models, value at risk, and credit risk. The book will provide a valuable source of reference material for both market participants and students."John Hull, August 1998 Carol Alexander has compiled an impressive list of contributors offering the most up-to-date techniques of risk management and the practical implementation of these techniques. The classic Handbook of Risk Management and Analysis has been updated and expanded into two volumes--Risk Measurement and Management and Markets and Products. This item is printed on demand. Shipping may be from our UK warehouse or from our Australian or US warehouses, depending on stock availability.