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Financial Risk Management - With CD

Financial Risk Management - With CD - 03 edition

ISBN13: 978-0471219774

Cover of Financial Risk Management - With CD 03 (ISBN 978-0471219774)
ISBN13: 978-0471219774
ISBN10: 0471219770
Cover type:
Edition/Copyright: 03
Publisher: John Wiley & Sons, Inc.
Published: 2003
International: No

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Financial Risk Management - With CD - 03 edition

ISBN13: 978-0471219774

Steven Allen

ISBN13: 978-0471219774
ISBN10: 0471219770
Cover type:
Edition/Copyright: 03
Publisher: John Wiley & Sons, Inc.

Published: 2003
International: No
Summary

Financial risk management as a field of study and practice continues to rapidly evolve. But despite the long list of books written about this subject, most focus mainly on statistical risk measurement techniques. Financial Risk Management: A Practitioner's Guide to Managing Market and Credit Risk breaks this mold by providing a comprehensive overview of the entire field of risk management.Steve Allen, Managing Director in charge of risk methodology at JPMorgan Chase, offers an insider's view of financial risk management and covers the strategies, principles, and measurement techniques necessary to manage and measure financial risk. Focusing on the management of those risks that can be successfully quantified, Allen explores real-world issues such as proper mark-to-market valuation of trading positions and determination of needed reserves against valuation uncertainty, the structuring of limits to control risk taking, and a review of mathematical models and how they can contribute to risk control.Financial Risk Management is divided into three equally informative parts, each filled with in-depth insights and valuable advice gleaned from years of risk management experience. Part one provides a general background to financial risk management and illustrates how risk arises in financial firms. You'll discover key concepts used to manage risk and learn-through some of the most prominent financial disasters of the past twenty-five years-how to avoid failures in risk management. Part two examines the methodology of market risk management and discusses its application to forward risk, spot risk, vanilla options risk, and exotic options risk. As each type is discussed, a detailed analysis is given of models used to price these risks as well as how these models can be used to measure and control risk. After these issues are thoroughly explored, part three of Financial Risk Management rounds out the discussion with lessons on the management of portfolio risk. Here, you will ga

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