(Finance and Capital Markets Series) Erik Banks-Liquidity Risk_ Managing Asset a.pdf
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Erik Banks has held senior risk management positions at several globalfinancial institutions, including Partner and Chief Risk Officer of Bermudareinsurer XL Capital’s derivatives subsidiary, and Managing Director ofCorporate Risk Management at Merrill Lynch, where he spent 13 yearsmanaging credit risk, market risk and risk analytics/technology teamsin Tokyo, Hong Kong, London and, latterly, New York. He received earlybank training at Citibank and Manufacturers Hanover. Erik Banks isthe author of 18 books on risk management, emerging markets, derivatives,alternative risk transfer, merchant banking, and electronic finance
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