Listing 1 - 10 of 225 << page
of 23
>>
Sort by

Book
Technical capabilities necessary for regulation of systemic financial risk : summary of a workshop
Authors: --- ---
ISBN: 0309150523 1282554425 9786612554421 0309149614 Year: 2010 Publisher: Washington, D. C. : National Academies Press,

Loading...
Export citation

Choose an application

Bookmark

Abstract


Film
Risk management : some lessons from the credit crisis
Author:
Year: 2010 Publisher: London : Henry Stewart Talks Ltd,

Loading...
Export citation

Choose an application

Bookmark

Abstract

Modelling UK Mortgage Default in Light of the Financial Crisis
Author:
Year: 2010 Publisher: London : Henry Stewart Talks Ltd,

Loading...
Export citation

Choose an application

Bookmark

Abstract


Book
Reorienting retirement risk management.
Authors: ---
ISBN: 9780199592609 Year: 2010 Publisher: Oxford Oxford university

Loading...
Export citation

Choose an application

Bookmark

Abstract


Book
Restoring Confidence in the Financial System: See-Through-Leverage - A Powerful New Tool for Revealing and Managing Risk
Authors: ---
ISBN: 1282917811 9786612917813 1441680365 Year: 2010 Publisher: [Place of publication not identified] Harriman House Publishing

Loading...
Export citation

Choose an application

Bookmark

Abstract

Explains the intricacies of the regulatory framework of Basel I and Basel II, the two landmark events in banking regulation which inadvertently laid the foundation for the economic crisis.


Book
Risk management : foundations for a changing financial world
Author:
ISBN: 1282822705 9786612822704 0470934093 Year: 2010 Publisher: Hoboken, N.J. : Wiley,

Loading...
Export citation

Choose an application

Bookmark

Abstract

"Risk management has become virtually as important as portfolio construction and asset selection, more so after the financial crisis of 2008-2009. Those who understood the fine art of risk management survived the wreckage of the markets; those who depended entirely on risk modeling suffered greatly. The reality is that managing risk successfully is just as much art as science and involves a deep understanding of theory, market history, and meaningful risk measurement methodologies. For two decades, the CFA has been publishing some of the most important works on risk management from leading practitioners. This new volume outlines the evolution of risk management with key contributions from top risk managers including Rick Bookstaber, Peter Bernstein, Aswath Damodaran, Phillippe Jorion, Cliff Asness, Andrew Lo, among others. Covering the full range of risk management issues, the book includes key information on the history of firm and portfolio risk management, risk measurement, credit risk, and risk management of derivatives, pension funds, and international investments"--

Quantmare, August 2007
Author:
Year: 2010 Publisher: London : Henry Stewart Talks,

Loading...
Export citation

Choose an application

Bookmark

Abstract


Book
Plight of the Fortune Tellers
Author:
ISBN: 128293645X 9786612936456 1400836395 9781400836390 Year: 2010 Publisher: Princeton, NJ

Loading...
Export citation

Choose an application

Bookmark

Abstract

Today's top financial professionals have come to rely on ever-more sophisticated mathematics in their attempts to come to grips with financial risk. But this excessive reliance on quantitative precision is misleading--and puts everyone at risk. In Plight of the Fortune Tellers, Riccardo Rebonato forcefully argues that we must restore genuine decision making to our financial planning. Presenting a financial model that uses probability, experimental psychology, and decision theory, Rebonato challenges us to rethink the standard wisdom about risk management. He offers a radical yet surprisingly commonsense solution: managing risk comes down to real people making decisions under uncertainty. Plight of the Fortune Tellers is a must-read for anyone concerned about how today's financial markets are run. In a new preface, Rebonato explains how the ideas presented in this book fit into the context of the global financial crisis that followed its original publication. He argues that risk managers are still stuck in a probabilistic rut, and need to engage with the structural causes of real events.


Book
Derivatives, risk management & value
Author:
ISBN: 1282757636 9786612757631 9812838635 Year: 2010 Publisher: Hackensack, N.J. : World Scientific,

Loading...
Export citation

Choose an application

Bookmark

Abstract

Covers fundamental concepts in financial markets and asset pricing such as hedging, arbitrage, speculation in different markets, classical models for pricing of simple and complex derivatives, mathematical foundations and managing and monitoring portfolios of derivatives in real time.


Book
Model Risk : Identification, Measurement and Management
Authors: ---
ISBN: 1908823615 Year: 2010 Publisher: Risk Books

Loading...
Export citation

Choose an application

Bookmark

Abstract

The book aims to provide solutions on how to include model risk into existing risk measurement frameworks. It also aims to provide solutions on how to build models of higher accuracy and thus lower model risk.

Listing 1 - 10 of 225 << page
of 23
>>
Sort by