免費 Advanced Fianncial Risk Management - 2nd Edition
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AdvancedFinancialRiskManagement:ToolsandTechniquesforIntegratedCreditRiskandInterestRateRiskManagement(WileyFinance)DonaldR.VanDeventer(Author),KenjiImai(Author),MarkMesler(Author)http://ecx.images-am ...
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Advanced Financial Risk Management: Tools and Techniques for Integrated Credit Risk and Interest Rate Risk Management (Wiley Finance)Donald R. Van Deventer (Author), Kenji Imai (Author), Mark Mesler (Author)
http://ecx.images-amazon.com/images/I/51VO%2BJVDrsL._BO2,204,203,200_PIsitb-sticker-arrow-click,TopRight,35,-76_AA300_SH20_OU01_.jpg
- Series: Wiley Finance
Hardcover: 784 pages - Publisher: Wiley; 2 edition (April 23, 2013)
Written by a team of internationally recognized experts in the field, Advanced Financial Risk Management, Second Edition schools you in proven tools and techniques for fulfilling that mandate.
The authors lay out a comprehensive strategy for integrating risk management measures, objectives, and hedging techniques that apply to all types of financial institutions. Just as importantly, they develop a framework for creating a dynamic, fully integrated, multi-model risk management system tailored to your specific institutional needs and goals.
Thoroughly updated and revised to reflect the many changes wrought by the 2008 credit crisis, this new edition of the acclaimed guide bridges the gap between idealized assumptions about valuation and the realities of day-to-day risk management actions with:
- Detailed explanations of which models performed well during the credit crisis, as well as the reasons why other models failed to measure up
- Proven tools and techniques for constructing a risk management system that protects institutional assets while measuring risk-adjusted shareholder value
- Guidance on how to construct continuous yield curves for everything from equity options to mortgage-backed securities
- Performance measurement techniques that go far beyond traditional methods of capital allocation and measuring risk-adjusted shareholder value creation
- Clear, accessible expositions of fixed income mathematics, duration, convexity, term structure models, risk-neutral instruments, derivatives, advanced hedging, and more
- Detailed discussions of the analytics of interest rate risk, credit risk, foreign exchange risk, and capital allocation
- In-depth discussions of the false assumptions behind many accepted risk management models and how to avoid falling prey to them
- A strong case for why a realistic computer simulation that has no "closed form" mathematical solution is, in most cases, the best, most accurate way to describe risk.
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