Validation of Risk Management Models for Financial Institutions: Theory and Practice. Dieser Artikel ist nicht verfügbar.
Sprache: Englisch
Verlag: Cambridge University Press, 2023
- Hardcover
- Neu

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Artikelbeschreibung des Verkäufers
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Bestandsnummer des Verkäufers C9781108497350
- Titel
- Validation of Risk Management Models for Financial Institutions: Theory and Practice
- Autor
- David Lynch
- Verlag
- Cambridge University Press
- Erscheinungsjahr
- 2023
- Zustand
- New
- Einband
- Hardback
- Sprache
- Englisch
- ISBN-10
- 1108497357
- ISBN-13
- 9781108497350
- Artikelgewicht
- 890 Gramm
A comprehensive book on validation with coverage of all the risk management models.
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Über die Autorin bzw. den Autor
David Lynch is Deputy Associate Director for Policy Research and Analytics at the Board of Governors of the Federal Reserve System. He joined the board in 2005, and his areas of responsibility include Volcker metrics, swap margin and oversight of models for market risk capital and counterparty risk capital.
Iftekhar Hasan is University Professor and E. Gerald Corrigan Chair in Finance at Fordham University. He is the editor of the Journal of Financial Stability and is among the most widely cited academics in the world.
Akhtar Siddique taught finance at Georgetown University after his finance Ph.D. at Duke University. He has published extensively in leading finance journals and currently works at the Office of the Comptroller of the Currency.
Iftekhar Hasan is University Professor and E. Gerald Corrigan Chair in Finance at Fordham University. He is the editor of the Journal of Financial Stability and is among the most widely cited academics in the world.
Akhtar Siddique taught finance at Georgetown University after his finance Ph.D. at Duke University. He has published extensively in leading finance journals and currently works at the Office of the Comptroller of the Currency.
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