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The Practice of Risk Management

文件格式:Pdf 可复制性:可复制 TAG标签: Management Practice Risk 点击次数: 更新时间:2009-10-23 11:49
介绍

The Practice of Risk Management (Paperback)
by Euromoney Books (Author), Goldman Sachs (Author), SBC Warburg Dillon Read (Author)
Book Description
The first book of its kind to describe the firmwide risk management landscape in two leading financial institutions - SBC Warburg Dillon Read and Goldmans Sachs. In 20 chapters is covers: the context of risk management, risk management in the real world, and the changing world of risk management. It details: risk reports, risk capital management, stress test reports, hot spots reports, best replicating portfolio reports and implied view reports. It also examines capital allocation and capital investment and a general framework of measuring risk adjusted performance is presented. With a preface by Gerald E. Corrigan.

Paperback: 264 pages
Publisher: Euromoney Institutional Investor PLC (February 1998)
ISBN-10: 1855646277
ISBN-13: 978-1855646278

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