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AA / International- internationaal --- 333.605 --- 333.109 --- 333.745 --- Nieuwe financiële instrumenten --- Veiligheid. Bankovervallen. Bankrisico's --- effectisering. Titrisatie
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AA / International- internationaal --- 333.103 --- 343.530 --- 333.109 --- Bankautomatisatie. --- Computerfraude. Computerveiligheid. --- Veiligheid. Bankovervallen. Bankrisico's. --- Private finance --- Bankautomatisatie --- Computerfraude. Computerveiligheid --- Veiligheid. Bankovervallen. Bankrisico's
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"An in-depth look at the tools and techniques professionals use to address financial risksRisk and uncertainty, as Allan Malz explains in his ground-breaking new book, are two completely different concepts. Risk is a quantifiable uncertainty that can be modeled, while uncertainty defines non-quantifiable outcomes that are not always known. Part art and part science, the study of risk remains a relatively new discipline in finance and economics that continues to be refined. Financial crisis, rather than destroying the need for risk management, has given even great nuance and meaning to what risks exist and can be managed and controlled, and a taxonomy of new risks that need to be explored in ever more meaningful ways. This definitive guide on financial risk Explores all the tools and techniques needed to cope with risk Addresses state of the art approaches to modeling and managing risks Investigates stress tests in periods of heightened uncertainty, and the impact that variables such as liquidity and correlations can have on risk mitigation Provides practicing risk professionals with useful rules of thumb, intuitions, and insights gleaned from Malz's entire career as risk researcher, chief risk officer, and financial market regulator outside his classroom at Columbia University Informative and engaging, this book will help you understand why risk has become its own essential discipline on Wall Street and beyond"--
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Risk management. --- Risk management --- Gestion du risque --- Methodology --- Méthodologie --- AA / International- internationaal --- 305.6 --- 333.109 --- Risicotheorie, speltheorie. Risicokapitaal. Beslissingsmodellen. --- Veiligheid. Bankovervallen. Bankrisico's. --- Méthodologie --- Insurance --- Management --- Risicotheorie, speltheorie. Risicokapitaal. Beslissingsmodellen --- Veiligheid. Bankovervallen. Bankrisico's
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AA / International- internationaal --- 333.103 --- 333.154 --- 333.109 --- Bankautomatisatie. --- Elektronische geldtransfers. Clearing. Home banking. --- Veiligheid. Bankovervallen. Bankrisico's. --- Bankautomatisatie --- Elektronische geldtransfers. Clearing. Home banking --- Veiligheid. Bankovervallen. Bankrisico's --- moyen de paiement --- paiement en ligne --- paiement sécurisé
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AA / International- internationaal --- 368.611 --- 347.768 --- 333.109 --- 368.612 --- Bankdepositoverzekering. Kredietverzekering. Waarborg op bankdeposito's. Delcredere --- Borgstelling. Garantie --- Veiligheid. Bankovervallen. Bankrisico's --- Verzekeringen van internationale kredieten en van investeringen
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This new edition of « The Handbook of ALM in Banking: Managing New Challenges for Interest Rates, Liquidity and the Balance Sheet » provides a complete overview on good practices for asset and liability management in banking. Since the previous edition, considerable changes have taken place in the regulatory ALM space. Both for liquidity risk as well as for interest rate risk in the banking book, regulatory demands have substantially increased concerning governance, stress testing, risk appetite framework, behavioural modelling, and organisational questions. At this point in time banks are working to implement these new regulations. At the same time, stronger separation of retail banking activities from investment banking is being proposed. Consequently, there is greater focus on efficient allocation of financial resources and respective risk management. Asset and liability management and transfer pricing play a pivotal role in this context. This new and updated edition expands on the previous version to take in an overview of these new regulations and their implications for the ALM area. The two most important developments in the ALM space since the last edition are arguably IRRBB and negative interest rates - both of which are covered here. The low-interest environment also imposes additional challenges on banking book management
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La 4e de couverture indique : "Cet ouvrage propose les méthodes les plus récentes disponibles à l'heure actuelle pour mettre en place un programme efficace et cohérent de gestion des risques dans une institution financière. Ce livre détaille les techniques utilisées par les sociétés les plus performantes pour l’identification, l’évaluation, la maîtrise et la surveillance des risques. Les différents chapitres présentent, sur un ton engageant, une vision globale des relations entre les composantes d’un cadre d’analyse de la gestion des risques. Ce guide très complet met l’accent sur le secteur financier, à la pointe dans ce domaine, mais le cadre d’analyse personnalisable peut s’adapter à chaque firme, quelles que soient ses pratiques, sa taille et la complexité de ses activités. Les professionnels d’autres secteurs, comme l’industrie, la santé ou le secteur public, y trouveront ainsi une mine d’outils et d’informations utiles pour gérer les risques dans leur domaine d’activité. Résultat de vingt ans d’expérience professionnelle de l’auteure qui a travaillé, conseillé et formé des établissements financiers de toutes tailles à travers le monde, ce livre s’adresse aussi bien aux professionnels qui découvrent cette discipline qu’aux gestionnaires expérimentés qui veulent renforcer et consolider leurs connaissances"
Banques --- Assurance --- Gestion du risque. --- Gestion. --- Banks and banking --- Financial services industry --- Financial risk management --- Risk management --- 333.109 --- Veiligheid. Bankovervallen. Bankrisico's --- Banks and banking - Risk management --- Financial services industry - Risk management
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