logo
logo
x
바코드검색
BOOKPRICE.co.kr
책, 도서 가격비교 사이트
바코드검색

인기 검색어

실시간 검색어

검색가능 서점

도서목록 제공

[eBook Code] Financial Risk Manager Handbook

[eBook Code] Financial Risk Manager Handbook (eBook Code, 6th)

(FRM Part I / Part II)

Philippe Jorion, GARP (Global Association of Risk Professionals) (지은이)
  |  
Wiley
2010-12-28
  |  
241,500원

일반도서

검색중
서점 할인가 할인률 배송비 혜택/추가 실질최저가 구매하기
알라딘 193,200원 -20% 0원 0원 193,200원 >
yes24 로딩중
교보문고 로딩중
notice_icon 검색 결과 내에 다른 책이 포함되어 있을 수 있습니다.

중고도서

검색중
로딩중

e-Book

검색중
서점 정가 할인가 마일리지 실질최저가 구매하기
로딩중

해외직구

책 이미지

[eBook Code] Financial Risk Manager Handbook

책 정보

· 제목 : [eBook Code] Financial Risk Manager Handbook (eBook Code, 6th) (FRM Part I / Part II)
· 분류 : 외국도서 > 경제경영 > 금융/재정 > 일반
· ISBN : 9781118017906
· 쪽수 : 816쪽

목차

Preface.

About the Author.

About GARP.

Introduction.

PART ONE Foundations of Risk Management.

CHAPTER 1 Risk Management.

PART TWO Quantitative Analysis.

CHAPTER 2 Fundamentals of Probability.

CHAPTER 3 Fundamentals of Statistics.

CHAPTER 4 Monte Carlo Methods.

CHAPTER 5 Modeling Risk Factors.

PART THREE Financial Markets and Products.

CHAPTER 6 Bond Fundamentals.

CHAPTER 7 Introduction to Derivatives.

CHAPTER 8 Option Markets.

CHAPTER 9 Fixed-Income Securities.

CHAPTER 10 Fixed-Income Derivatives.

CHAPTER 11 Equity, Currency, and Commodity Markets.

PART FOUR Valuation and Risk Models.

CHAPTER 12 Introduction to Risk Models.

CHAPTER 13 Managing Linear Risk.

CHAPTER 14 Nonlinear (Option) Risk Models.

PART FIVE Market Risk Management.

CHAPTER 15 Advanced Risk Models: Univariate.

CHAPTER 16 Advanced Risk Models: Multivariate.

CHAPTER 17 Managing Volatility Risk.

CHAPTER 18 Mortgage-Backed Securities Risk.

PART SIX Credit Risk Management.

CHAPTER 19 Introduction to Credit Risk.

CHAPTER 20 Measuring Actuarial Default Risk.

CHAPTER 21 Measuring Default Risk from Market Prices.

CHAPTER 22 Credit Exposure.

CHAPTER 23 Credit Derivatives and Structured Products.

CHAPTER 24 Managing Credit Risk.

PART SEVEN Operational and Integrated Risk Management.

CHAPTER 25 Operational Risk.

CHAPTER 26 Liquidity Risk.

CHAPTER 27 Firmwide Risk Management.

CHAPTER 28 The Basel Accord.

PART EIGHT Investment Risk Management.

CHAPTER 29 Portfolio Risk Management.

CHAPTER 30 Hedge Fund Risk Management.

Index.

이 포스팅은 쿠팡 파트너스 활동의 일환으로,
이에 따른 일정액의 수수료를 제공받습니다.
도서 DB 제공 : 알라딘 서점(www.aladin.co.kr)
최근 본 책