Investment risk management
tarafından
 
Baker, H. Kent, 1944-, editor.

Başlık
Investment risk management

Yazar
Baker, H. Kent, 1944-, editor.

ISBN
9780199331963

Fiziksel Tanımlama
672 pages ; 23 cm.

Seri
Financial markets and investments series

İçerik
SECTION ONE FOUNDATIONS OF RISK MANAGEMENT ; 1. Investment Risk Management: An Overview ; H. Kent Baker and Greg Filbeck ; 2. Measuring and Managing Risk ; Raimund M. Kovacevic, Georg Ch. Pflug, and Alois Pichler ; 3. How Risk Management Adds Value ; M. Martin Boyer and Monica Marin ; 4. Accounting and Risk Management ; Mark Bradshaw and Bjorn Jorgensen ; SECTION TWO TYPES OF RISK ; 5. Market Risk ; Ramon P. Degennaro and Chanaka P. Edirisinghe ; 6. Credit Risk Measurement and Management ; Norbert J. Jobst ; 7. Operational Risk ; Pavel V. Shevchenko ; 8. Liquidity Risk ; Kose John, Samir Saadi, and Hui Zhu ; 9. Country Risk: Determinants, Measures, and Implications ; Aswath Damodaran ; 10. Systemic Risk ; Andreas Krause ; 11. Behavioral Risk ; M. Martin Boyer, Franca Glenzer, and Samuel Ouzan ; 12. Governance Risk: A Guide for Investors ; Didier Cossin ; 13. Inflation Risk: Causes and Instruments for Protection ; Claus Huber, Felix Gasser, and Nicolas Burkler ; 14. Risk Aggregation and Capital Management ; Sumit Mathur ; SECTION THREE QUANTITATIVE ASSESSMENT OF RISK ; 15. Value-at-Risk and Other Risk Measures ; Markus Lieppold ; 16. Stress Testing ; Martin ?ihak ; 17. Risk Management and Regulation ; David E. Allen, Robert J. Powell, and Abhay K. Singh ; 18. Risk Budgeting ; Gregg Fisher, Tim Nguyen, and Cristian I. Tiu ; 19. Risk-Adjusted Performance Measurement ; Pilar Grau Carles ; 20. Risk Attribution Analysis ; Philippe Bertrand ; SECTION FOUR RISK AND ASSET CLASSES ; 21. Risk and Mortgage-Backed Securities in a Time of Transition ; Harold C. Barnett ; 22. Credit Value Adjustment ; James T. Moser ; 23. Risk Management and Hedge Funds ; Razvan Pascalau ; SECTION FIVE HEDGING RISK ; 24. Options ; Kit Pong Wong, Greg Filbeck, and H. Kent Baker ; 25. Trading Futures to Manage Risk ; Ludwig B. Chincarini ; 26. Swaps ; Dimitris Tsouknidis and Elias Boukrami ; 27. The Economics of Credit Derivatives ; Udo Broll, Simone Raab, and Peter Welzel ; 28. Foreign Exchange Derivatives in Frontier Markets ; Othmane Boukrami and Bert van Lier ; SECTION SIX GOING FORWARD ; 29. Risk Management and Financial Disasters ; Gabriele Sabato ; 30. The Future of Risk Management ; Hunter M. Holzhauer.

Özet
All investments carry with them some degree of risk. In the financial world, individuals, professional money managers, financial institutions and many others encounter and must deal with risk. The main purpose of 'Investment Risk Management' is to provide an overview of developments in risk management and a synthesis of research involving the latest developments in the field

Konu Başlığı
Financial risk
 
Investments
 
Portfolio management.
 
Risk
 
Finalsal Risk.
 
Risk.
 
Portföy Yönetimi.

Yazar Ek Girişi
Baker, H. Kent, 1944-,
 
Filbeck, Greg,


LibraryMateryal TürüDemirbaşYer NumarasıDurumu / Lokasyon / İade Tarihi
Ekonomi KütüphanesiKitapEKOBKN0000050332.6 INV 2015Merkez Kütüphane Genel Koleksiyon