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  • ISBN:9780138006174
  • 作者:暂无作者
  • 出版社:暂无出版社
  • 出版时间:2009-07
  • 页数:576
  • 价格:526.50
  • 纸张:胶版纸
  • 装帧:平装
  • 开本:大16开
  • 语言:未知
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内容简介:

For undergraduate or graduate courses with titles such as "Risk Management" and "Financial Risk Management" and courses on Financial Institutions focusing on regulation and risk management. Written by a respected author in the professional market, Risk Management and Financial Institutions, 2/e is the only text that explains risk management theory in a "this is how you do it" manner, encouraging practical application in today's world. Professors need a text that offers the latest information available, yet is written for application in a real work environment. Hull helps students gain knowledge that will stay with them beyond college. Thoroughly updated, the Second Edition incorporates new information regarding Stress Testing, liquidity risks, ABSs, CDOs, and the credit crunch of 2007.


书籍目录:

Business Snapshots

Preface

1. Introduction

2. Banks

3. Insurance

4. Mutual Funds and Hedge Funds

5. Financial Instruments

6. How Traders Manage Their Exposures

7. Interest Rate Risk

8. Value at Risk

9. Volatility

10. Correlation and Copulas

11. Regulation, Basel II, and Solvency II

12. Market Risk VaR: Historical Simulation Approach

13. Market Risk VaR: Model-Building Approach

14. Credit Risk: Estimating Default Probabilities

15. Credit Risk Losses and Credit VaR

16. ABSs, CDOs, and the Credit Crunch of 2007

17. Scenario Analysis and Stress Testing

18. Operational Risk

19. Liquidity Risk

20. Model Risk

21. Economic Capital and RAROC

22. Risk Management Mistakes to avoid

Appendix

A: Compounding Frequencies and Interest Rates Appendix

B: Zero Rtes, Forward Rates, and Zero-Coupon Yield Curves Appendix

C: Valuing Forward and Futures Contracts Appendix

D: Valuing Swaps Appendix

E: Valuing European Options Appendix

F: Valuing American Options Appendix

G: Taylor Series Expansions Appendix

H: Eigenvectors and Eigenvalues Appendix

I: Principal Components Analysis Appendix

J: Manipulation of Credit Transition Matrices

Answers to Questions and Problems

Glossary of Terms

DerivaGem Software

Tables For N(x)

Index


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书籍介绍

For undergraduate or graduate courses with titles such as "Risk Management" and "Financial Risk Management" and courses on Financial Institutions focusing on regulation and risk management. Written by a respected author in the professional market, Risk Management and Financial Institutions, 2/e is the only text that explains risk management theory in a "this is how you do it" manner, encouraging practical application in today's world. Professors need a text that offers the latest information available, yet is written for application in a real work environment. Hull helps students gain knowledge that will stay with them beyond college. Thoroughly updated, the Second Edition incorporates new information regarding Stress Testing, liquidity risks, ABSs, CDOs, and the credit crunch of 2007.

MyLab或是Mastering系列是在线作业系统。Access Code Card是在线作业系统的访问码,是老师和学生课堂之外网络互动及交流的平台,个人是无法使用这个平台的。请读者注意您购买的这个ISBN是不带Access Code Card的。


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