楼主: morosing
1420 3

PRM handbook_III [推广有奖]

  • 0关注
  • 1粉丝

硕士生

70%

还不是VIP/贵宾

-

威望
0
论坛币
2306 个
通用积分
1.2638
学术水平
0 点
热心指数
0 点
信用等级
0 点
经验
1234 点
帖子
290
精华
0
在线时间
73 小时
注册时间
2007-12-11
最后登录
2015-5-25

相似文件 换一批

+2 论坛币
k人 参与回答

经管之家送您一份

应届毕业生专属福利!

求职就业群
赵安豆老师微信:zhaoandou666

经管之家联合CDA

送您一个全额奖学金名额~ !

感谢您参与论坛问题回答

经管之家送您两个论坛币!

+2 论坛币
Carol Alexander, “The Professional risk Managers’ Handbook: A Comprehensive Guide to Current Theory and Best Practices (3 Volume Set)” PRMIA Publications | 2005-01 | ISBN:0976609703 | 1301 pages | PDF | 12,3 Mb As its title implies, this book is the Handbook for the Professional Risk Manager. It is for those professionals who seek to demonstrate their skills in the field of financial risk management and for those looking simply for an excellent reference source. With contributions from nearly 40 leading authors, the Handbook is designed to provide you with the materials needed to gain the knowledge and understanding of the building blocks of professional financial risk management. Financial risk management is not about avoiding risk. Rather, it is about understanding and communicating risk, so that risk can be taken more confidently and in a better way. Whether your specialism is in insurance, banking, energy, asset management, weather, or one of myriad other industries, this Handbook is your guide. In Section I, we introduce the foundations of finance theory, the financial instruments that provide tools for the mitigation or transfer of risk, and the financial markets in which instruments are traded and capital is raised. In Section II, we take you through the mathematical foundations of risk assessment. While there are many nuances to the practice of risk management that go beyond the quantitative, it is essential today for every risk manager to be able to assess risks. The chapters in this section are accessible to all, including those without any quantitative skills. The online Excel spreadsheets that accompany the examples are an invaluable aid to understanding the mathematical and statistical concepts that form the basis of risk assessment. In Section III, the current and best practices of Market, Credit and Operational risk management are described. This is where we take the foundations of Sections I and II and apply them to our profession in very specific ways. Here the strategic application of risk management to capital allocation and risk-adjusted performance measurement takes hold. At the end of your progression through these materials, you will find that you have broadened your knowledge and skills in ways that you might not have imagined. You will have challenged yourself as well. And, you will be a better risk manager. It is for this reason that we have created the Professional Risk Managers’ Handbook.
二维码

扫码加我 拉你入群

请注明:姓名-公司-职位

以便审核进群资格,未注明则拒绝

关键词:handbook Book Hand III PRM handbook Risk managers PRMIA

prm handbook_III.pdf

3.68 MB

需要: 15 个论坛币  [购买]

沙发
mustangGTR 发表于 2010-2-8 08:13:03 |只看作者 |坛友微信交流群
太贵了,不舍得买啊
顶给有钱人来买吧

使用道具

藤椅
morosing 发表于 2010-2-8 21:00:29 |只看作者 |坛友微信交流群
[em46][em46]

使用道具

bhenchod

使用道具

您需要登录后才可以回帖 登录 | 我要注册

本版微信群
加好友,备注jr
拉您进交流群

京ICP备16021002-2号 京B2-20170662号 京公网安备 11010802022788号 论坛法律顾问:王进律师 知识产权保护声明   免责及隐私声明

GMT+8, 2024-5-8 13:16