Dealing With Financial Risk (The Economist series)
Language: English
Published by Bloomberg Press, 2004
- Softcover
- Used

Seller: WorldofBooks, Goring-By-Sea, WS, United KingdomWorldofBooks
AbeBooks seller since March 16, 2007
Condition: Used - Very good
US$ 32.39
Quantity: 1 available
Add to basketItem description from seller
The book has been read, but is in excellent condition. Pages are intact and not marred by notes or highlighting. The spine remains undamaged.
Seller Inventory # GOR011631595
- Title
- Dealing With Financial Risk (The Economist series)
- Author
- Shirreff, David
- Publisher
- Bloomberg Press
- Publication year
- 2004
- Condition
- Very Good
- Binding
- Paperback
- Language
- English
- ISBN 10
- 1576601625
- ISBN 13
- 9781576601624
- Item weight
- 499 grams
Ultimately, financial firms have learned that mathematics has limited power to calculate the likelihood of the less frequent more extreme events. As regulators and forward-thinking firms come to grips with this problem, they have ventured into the more uncertain territory of designing stress tests, imagining scenarios, and occasionally playing out entire fictions of the future. Risk management at these extremes challenges the wildest imagination and the frontiers of creativity. Like mountain climbing, it is about minimizing danger and taking calculated risks.
Dealing With Financial Risk is a clear and colorful guide to the peaks and crevasses of financial risk management, leading through the theory and practice of risk taking from swaps and futures to credit derivatives and the implications of Basel II, dynamic hedging, Monte Carlo simulations, chaos theory, neural networks, Raroc (risk-adjusted return on capital), stress tests, worst-case scenarios, and all kinds of games that are played in the cause of managing risk. In addition, it looks at some spectacular failures of risk management and the lessons that can be learned from them.
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WorldofBooks
Goring-By-Sea, WS, United Kingdom
AbeBooks seller since March 16, 2007
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