Gratis Versand ab € 16,99. Mehr Infos.
Bookbot

Measuring and Managing Derivative Market Risk

Autor*innen

Mehr zum Buch

Recent well-publicised losses on the derivatives markets have highlighted the need for a much closer understanding of the price risk involved, not just among the specialists but at all levels within financial institutions and end-user companies. This timely book sets out a clear, logical approach to the measurement of price risk positions using the techniques of factor sensitivity analysis and 'value at risk', illustrated with straightforward numerical examples. It will be an essential guide to a key area of risk management.

Buchkauf

Measuring and Managing Derivative Market Risk, D. H. Lawrence

Sprache
Erscheinungsdatum
1996
product-detail.submit-box.info.binding
(Hardcover)
Wir benachrichtigen dich per E-Mail.

Lieferung

  • Gratis Versand ab 16,99 € in ganz Österreich! Mehr Infos.

Zahlungsmethoden

Keiner hat bisher bewertet.Abgeben

Titel
Measuring and Managing Derivative Market Risk
Sprache
Englisch
Autor*innen
D. H. Lawrence
Erscheinungsdatum
1996
Einband
Hardcover
ISBN10
1861520069
ISBN13
9781861520067
Reihe
Beschreibung
Recent well-publicised losses on the derivatives markets have highlighted the need for a much closer understanding of the price risk involved, not just among the specialists but at all levels within financial institutions and end-user companies. This timely book sets out a clear, logical approach to the measurement of price risk positions using the techniques of factor sensitivity analysis and 'value at risk', illustrated with straightforward numerical examples. It will be an essential guide to a key area of risk management.