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Understanding Risk: The Theory and Practice of Financial Risk Management

Printed Book
SR 630
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SR38Per Month/24 months
Author:Murphy, David
Date of Publication: 2008
Book classification:Science & Mathematics,English Books,Business & Management,
No. of pages:472 Pages
Format:Paperback

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About this Product

This book explains how to understand financial risk and how the severity and frequency of losses can be controlled. Divided into four parts, it begins by introducing the basics of risk management and the behavior of financial instruments. The next section focuses on regulatory capital standards and models, addressing value-at-risk (VaR) models, portfolio credit risk, tranching, operational risk, and the Basel accords. The author then deals with asset/liability management (ALM) and liquidity management. The last part explores structured finance and a variety of new trading instruments, including inflation-linked products, sophisticated equity basket options, and convertible bonds.
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Specifications

SKU9781584888932
Manufacturer Number9781584888932
year published2008
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