1.061.899

kiadvánnyal nyújtjuk Magyarország legnagyobb antikvár könyv-kínálatát

A kosaram
0
MÉG
5000 Ft
a(z) 5000Ft-os
szállítási
értékhatárig

The Professional Risk Managers' Guide to Finance Theory and Application

Szerkesztő
New York
Kiadó: McGraw-Hill
Kiadás helye: New York
Kiadás éve:
Kötés típusa: Fűzött keménykötés
Oldalszám: 261 oldal
Sorozatcím: Prmia Risk Management Series
Kötetszám:
Nyelv: Angol  
Méret: 24 cm x 16 cm
ISBN: 978-0-07-154647-8
Megjegyzés: Fekete-fehér ábrákkal.
Értesítőt kérek a kiadóról
Értesítőt kérek a sorozatról

A beállítást mentettük,
naponta értesítjük a beérkező friss
kiadványokról
A beállítást mentettük,
naponta értesítjük a beérkező friss
kiadványokról

Előszó

Tovább

Előszó


Vissza

Fülszöveg


EXPERT ANALYSIS OF THE PRACTICAL APPLICATIONS OF FINANCIAL THEORY
f you're a risk manager in the financial sector, The Professional Risk Managers' 3uide to Finance Theory and Application offers a comprehensive background in inance theory that is required reading for all finance professionals from investors to actuaries.
Edited by risk management experts Carol Alexander and Elizabeth Sheedy, this 3ne-of-a-kind resource brings together a distinguished group of leading practitioners and scholars from around the globe, who share their viewpoints on all the major areas 3f finance theory and their relevance for risk management. The Professional Risk Managers' Guide to Finance Theory and Application walks you through every aspect of-v ¦ .
¦ Risk attitude ^^ m
¦ Portfolio theory and diversification
¦ Capital allocation and capital structure
¦ Modeling interest rates ^ i
¦ Futures and forward contracts -
¦ Option valuation
FINANCIAL MARKETS
FINANCIAL INSTRUMENTS
ENERGY MARKET... Tovább

Fülszöveg


EXPERT ANALYSIS OF THE PRACTICAL APPLICATIONS OF FINANCIAL THEORY
f you're a risk manager in the financial sector, The Professional Risk Managers' 3uide to Finance Theory and Application offers a comprehensive background in inance theory that is required reading for all finance professionals from investors to actuaries.
Edited by risk management experts Carol Alexander and Elizabeth Sheedy, this 3ne-of-a-kind resource brings together a distinguished group of leading practitioners and scholars from around the globe, who share their viewpoints on all the major areas 3f finance theory and their relevance for risk management. The Professional Risk Managers' Guide to Finance Theory and Application walks you through every aspect of-v ¦ .
¦ Risk attitude ^^ m
¦ Portfolio theory and diversification
¦ Capital allocation and capital structure
¦ Modeling interest rates ^ i
¦ Futures and forward contracts -
¦ Option valuation
FINANCIAL MARKETS
FINANCIAL INSTRUMENTS
ENERGY MARKET
LEARN ABOUT NEW BOOKS FROM TOP EXPERTS IN FINANCE AND INVESTING AT mhprofessionaLcom/finance.
This
comprehensive reference brings together ten of the world's leading scholars and practitioners, who provide invaluable perspectives on all aspects of finance theory and how they are applied to the process of risk management.
The book begins with an overview of risk and risk aversion, introducing utility functions and the mean-variance criterion. It then delivers a thorough introduction to portfolio mathematics, including discussion of the efficient frontier, portfolio theory, and portfolio diversification.
Written to help you fortify your defenses against extreme, unanticipated outcomes, and to ensure that returns are an adequate reward for risks taken, The Professional Risk Managers' Guide to Finance Theory and Application covers key issues such as:
¦ The theory of capital allocation
¦ Capital structure, that is, debt versus equity financing
¦ The CAPM and multifactor models
¦ Interest rate models
¦ The term structure of interest rates
¦ No-arbitrage pricing of futures and forwards
¦ Risk-neutral valuation of options
(Continued from front fiap)
¦ li
Offering a global view not found elsewhere, The Professional Risk Managers' Guide to Finance Theory and Application arms institutional investors, professional financial analysts and traders, auditors, corporate treasurers, regulators and actuaries with the practical tools to master any financial field.
THE PROFESSIONAL RISK MANAGERS' INTERNATIONAL ASSOCIATION (PRiviiA) is one of the world's leading risk management associations, with more than 40,000 members in 179 countries. A non-profit, PRMIA is dedicated to the development of new techniques and best practices for managing financial and investment risks, and offers the only globally endorsed Professional Risk Manager certification program.
CAROL ALEXANDER is Professor of Risk Management and Director of Research at the ICMA Centre, UK and Chair of the Academic Advisory Council of PRMIA.
ELIZABETH SHEEDY Is an Associate Professor at the Macquarie Applied Finance Centre in Sydney, Australia.
Vissza

Tartalom


Vissza
Megvásárolható példányok
Állapotfotók
The Professional Risk Managers' Guide to Finance Theory and Application The Professional Risk Managers' Guide to Finance Theory and Application The Professional Risk Managers' Guide to Finance Theory and Application
Állapot:
9.800 ,-Ft
49 pont kapható
Kosárba