Buku Teks SO :: Kembali

Buku Teks SO :: Kembali

Financial risk management : a practitioner's guide to managing market and credit risk

by Steven Allen (John Wiley and Sons, 2013)

 Abstrak

Contents
Foreword -- Preface -- Acknowledgments -- Introduction -- Institutional background -- Operational risk -- Financial disasters -- The systemic disaster of 2007-2008 -- Managing financial risk -- VaR and stress testing -- Model risk -- Managing spot risk -- Managing forward risk -- Managing vanilla options risk -- Managing exotic options risk -- Credit risk -- Counterparty credit risk -- Bibliography -- About the companion website -- Index.

 Metadata

Jenis Koleksi : Buku Teks SO
No. Panggil : 658.15 ALL f
Entri utama-Nama orang :
Subjek :
Penerbitan : New Jersey: John Wiley and Sons, 2013
Sumber Pengatalogan : LibUI eng rda
ISBN : 9781118175453
Tipe Konten : text
Tipe Media : unmediated
Tipe Carrier : volume
Edisi : Second edition
Deskripsi Fisik : xxvii, 579 pages. ; 24 cm
Catatan Bibliografi : pages. 533-545
Catatan Seri :
Catatan Umum :
Catatan Versi Asli :
Lembaga Pemilik : Universitas Indonesia
Lokasi : Perpustakaan UI, Lantai 2
  • Ketersediaan
  • Ulasan
  • Sampul
No. Panggil No. Barkod Ketersediaan
658.15 ALL f 01-15-00509 TERSEDIA
Ulasan:
Tidak ada ulasan pada koleksi ini: 20395030
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