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Risk Management and Financial Institutions - Hardcover

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9780136102953: Risk Management and Financial Institutions

Synopsis

Hull’s Risk Management and Financial Institutions, 2/e explains risk management theory in a ";this is how you do it"; manner, encouraging practical application in today’s world. Thoroughly updated, the Second Edition incorporates new information regarding Stress Testing, liquidity risks, ABS’s, CDO’s, and the credit crunch of 2007.KEY TOPICS: Introduction; Banks; Insurance; Mutual Funds and Hedge Funds; Financial Instruments; How Traders Manage Their Exposures; Interest Rate Risk; Value at Risk; Volatility; Correlation and Copulas; Regulation, Basel II, and Solvency II; Market Risk VaR: Historical Simulation Approach; Market Risk VaR: Model-Building Approach; Credit Risk: Estimating Default Probabilities; Credit Risk Losses and Credit VaR; ABSs, CDOs, and the Credit Crunch of 2007; Scenario Analysis and Stress Testing; Operational Risk; Liquidity Risk; Model Risk; Economic Capital and RAROC; Risk Management Mistakes to avoid; Com

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  • PublisherPearson College Div
  • Publication date2009
  • ISBN 10 0136102956
  • ISBN 13 9780136102953
  • BindingHardcover
  • LanguageEnglish
  • Edition number2
  • Number of pages556
  • Rating
    • 4.11 out of 5 stars
      161 ratings by Goodreads

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9780138006174: RISK MANAGEMENT AND FINANCIAL INSTITUTIONS : INTERNATIONAL EDITION 2

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ISBN 10:  0138006172 ISBN 13:  9780138006174
Publisher: PEARSON, 2010
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John C. Hull
Published by Pearson College Div, 2009
ISBN 10: 0136102956 ISBN 13: 9780136102953
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John C. Hull
Published by Pearson College Div, 2009
ISBN 10: 0136102956 ISBN 13: 9780136102953
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Hull, John C.
Published by Prentice Hall, 2009
ISBN 10: 0136102956 ISBN 13: 9780136102953
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JOHN C HULL
ISBN 10: 0136102956 ISBN 13: 9780136102953
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Softcover. Condition: gut. Auflage: 2 Har/Cdr (5. Juni 2009). John C. Hull's Financial Risk Management text is the only text to take risk management theory and explain it in a "this is how you do it" manner for practical application in today's real world. We found that most professors are looking for a book that contains up to date information, and is written for application in the real work environment. Hull's text offers students the ability to gain knowledge that will stay with them beyond college and be useful in the real world. Based on one of the most popular MBA courses at University of Toronto entitled "Financial Risk Management", this text focuses on the ways banks and other financial institutions measure market, credit and operational risk. John C. Hull, author of the book "Options, Futures, and Other Derivatives" which became the standard reference text for traders, wrote "Risk Management and Financial Institutions" for use in instruction as well as trade. The practical nature of the book lends itself to a "this is how you do it" presentation style that includes excellent account of the new Basel II regulatory requirements for banks effective in 2007. Contents same as US/UK editions. In englischer Sprache. 556 pages. 25,4 x 20,8 x 2,5 cm. Seller Inventory # BN16085

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JOHN C HULL
ISBN 10: 0136102956 ISBN 13: 9780136102953
Used Softcover

Seller: BUCHSERVICE / ANTIQUARIAT Lars Lutzer, Wahlstedt, Germany

Seller rating 4 out of 5 stars 4-star rating, Learn more about seller ratings

Softcover. Condition: gut. Auflage: 2 Har/Cdr (5. Juni 2009). John C. Hull's Financial Risk Management text is the only text to take risk management theory and explain it in a "this is how you do it" manner for practical application in today's real world. We found that most professors are looking for a book that contains up to date information, and is written for application in the real work environment. Hull's text offers students the ability to gain knowledge that will stay with them beyond college and be useful in the real world. Based on one of the most popular MBA courses at University of Toronto entitled "Financial Risk Management", this text focuses on the ways banks and other financial institutions measure market, credit and operational risk. John C. Hull, author of the book "Options, Futures, and Other Derivatives" which became the standard reference text for traders, wrote "Risk Management and Financial Institutions" for use in instruction as well as trade. The practical nature of the book lends itself to a "this is how you do it" presentation style that includes excellent account of the new Basel II regulatory requirements for banks effective in 2007. Contents same as US/UK editions. 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. In englischer Sprache. 556 pages. Seller Inventory # BN19366

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