Financial Risk Management and Modeling
portes grátis
Financial Risk Management and Modeling
Zopounidis, Constantin; Benkraiem, Ramzi; Kalaitzoglou, Iordanis
Springer Nature Switzerland AG
09/2021
480
Dura
Inglês
9783030666903
15 a 20 dias
893
Descrição não disponível.
Chapter1. Preface and acknowledgement.-Chapter2. Risk quantification and modeling.- Chapter3. Risk management and financial returns.- Chapter4. Risk modeling.- Chapter5. Interest rate risk.- Chapter6. Exchange rate risk.- Chapter7. Risk in commodities.- Chapter8.- Credit risk.- Chapter9.- Country risk.- Chapter10. Firm risk.- Chapter11. Corporate manager's risk taking behavior.- Chapter12. Operational risk.- Chapter13. Liquidity risk.- Conclusion.
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Asset Pricing;Asset Allocation;Corporate Governance;Banking Risk;Risk Management;Risk Modeling;Risk in Commodities;Credit Risk;Financial Risk Quantification;MiFID;Market Microstructure and High Frequency Trading;System Risk and Economic Growth;Hedging;Liquidity Risk
Chapter1. Preface and acknowledgement.-Chapter2. Risk quantification and modeling.- Chapter3. Risk management and financial returns.- Chapter4. Risk modeling.- Chapter5. Interest rate risk.- Chapter6. Exchange rate risk.- Chapter7. Risk in commodities.- Chapter8.- Credit risk.- Chapter9.- Country risk.- Chapter10. Firm risk.- Chapter11. Corporate manager's risk taking behavior.- Chapter12. Operational risk.- Chapter13. Liquidity risk.- Conclusion.
Este título pertence ao(s) assunto(s) indicados(s). Para ver outros títulos clique no assunto desejado.