Sprache: Englisch
Verlag: CAMBRIDGE U.P., CAMBRIDGE, 2014
ISBN 10: 1107012015 ISBN 13: 9781107012011
Anbieter: Antártica, Madrid, M, Spanien
Cartoné (tapa dura cartón). Zustand: New. Zustand des Schutzumschlags: Nuevo. 01. Risk has always been central to finance, and managing risk depends critically on information. As evidenced by recent events, the need has never been greater for skills, systems and methodologies to manage risk information in financial markets. Authored by leading figures in risk management and analysis, this handbook serves as a unique and comprehensive reference for the technical, operational, regulatory and political issues in collecting, measuring and managing financial data. It will appeal to a wide range of audiences, from financial industry practitioners and regulators responsible for implementing risk management systems, to system integrators and software firms helping to improve such systems. LIBRO.
Sprache: Englisch
Verlag: Cambridge University Press, 2014
ISBN 10: 1107012015 ISBN 13: 9781107012011
Anbieter: Zubal-Books, Since 1961, Cleveland, OH, USA
Zustand: Very Good. *Price HAS BEEN REDUCED by 10% until Monday, June 8 (weekend SALE item)* 658 pp., hardcover, previous owner's name neatly inked to the title page, else very good. - If you are reading this, this item is actually (physically) in our stock and ready for shipment once ordered. We are not bookjackers. Buyer is responsible for any additional duties, taxes, or fees required by recipient's country.
Sprache: Englisch
Verlag: Cambridge University Press, 2014
ISBN 10: 1107012015 ISBN 13: 9781107012011
Anbieter: Mispah books, Redhill, SURRE, Vereinigtes Königreich
EUR 144,30
Anzahl: 1 verfügbar
In den WarenkorbHardcover. Zustand: Like New. Like New. book.
Sprache: Englisch
Verlag: Cambridge University Press, 2014
ISBN 10: 1107012015 ISBN 13: 9781107012011
Anbieter: California Books, Miami, FL, USA
Zustand: New.
Sprache: Englisch
Verlag: Cambridge University Press CUP, 2014
ISBN 10: 1107012015 ISBN 13: 9781107012011
Anbieter: Books Puddle, New York, NY, USA
Zustand: New. pp. 658 Index.
Anbieter: Revaluation Books, Exeter, Vereinigtes Königreich
EUR 297,00
Anzahl: 2 verfügbar
In den WarenkorbHardcover. Zustand: Brand New. 642 pages. 10.00x7.00x1.25 inches. In Stock.
Anbieter: Revaluation Books, Exeter, Vereinigtes Königreich
EUR 206,80
Anzahl: 1 verfügbar
In den WarenkorbHardcover. Zustand: Brand New. 642 pages. 10.00x7.00x1.25 inches. In Stock. This item is printed on demand.
Sprache: Englisch
Verlag: Cambridge University Press, Cambridge, 2014
ISBN 10: 1107012015 ISBN 13: 9781107012011
Anbieter: Grand Eagle Retail, Bensenville, IL, USA
Hardcover. Zustand: new. Hardcover. Risk has always been central to finance, and managing risk depends critically on information. As evidenced by recent events, the need has never been greater for skills, systems and methodologies to manage risk information in financial markets. Authored by leading figures in risk management and analysis, this handbook serves as a unique and comprehensive reference for the technical, operational, regulatory and political issues in collecting, measuring and managing financial data. It will appeal to a wide range of audiences, from financial industry practitioners and regulators responsible for implementing risk management systems, to system integrators and software firms helping to improve such systems. Volume I examines the business and regulatory context that makes risk information so important. A vast set of techniques and processes have grown up over time, and without an understanding of the broader forces at work, it is all too easy to get lost in the details. This comprehensive resource explores the different issues involved in collecting, measuring and managing data in the financial services industry. Written by experts and leading figures in risk management and analysis, it sets out a clear vision for a structural and operational framework for a financial risk data repository. This item is printed on demand. Shipping may be from multiple locations in the US or from the UK, depending on stock availability.
Sprache: Englisch
Verlag: Cambridge University Press, 2014
ISBN 10: 1107012015 ISBN 13: 9781107012011
Anbieter: moluna, Greven, Deutschland
EUR 202,66
Anzahl: Mehr als 20 verfügbar
In den WarenkorbZustand: New. Dieser Artikel ist ein Print on Demand Artikel und wird nach Ihrer Bestellung fuer Sie gedruckt. This comprehensive resource explores the different issues involved in collecting, measuring and managing data in the financial services industry. Written by experts and leading figures in risk management and analysis, it sets out a clear vision for a struct.
Sprache: Englisch
Verlag: Cambridge University Press, 2014
ISBN 10: 1107012015 ISBN 13: 9781107012011
Anbieter: Majestic Books, Hounslow, Vereinigtes Königreich
EUR 278,93
Anzahl: 4 verfügbar
In den WarenkorbZustand: New. Print on Demand pp. 658 56 Illus. (50 Col.).
Sprache: Englisch
Verlag: Cambridge University Press, 2014
ISBN 10: 1107012015 ISBN 13: 9781107012011
Anbieter: Biblios, Frankfurt am main, HESSE, Deutschland
Zustand: New. PRINT ON DEMAND pp. 658.
Sprache: Englisch
Verlag: Cambridge University Press, Cambridge, 2014
ISBN 10: 1107012015 ISBN 13: 9781107012011
Anbieter: CitiRetail, Stevenage, Vereinigtes Königreich
EUR 256,39
Anzahl: 1 verfügbar
In den WarenkorbHardcover. Zustand: new. Hardcover. Risk has always been central to finance, and managing risk depends critically on information. As evidenced by recent events, the need has never been greater for skills, systems and methodologies to manage risk information in financial markets. Authored by leading figures in risk management and analysis, this handbook serves as a unique and comprehensive reference for the technical, operational, regulatory and political issues in collecting, measuring and managing financial data. It will appeal to a wide range of audiences, from financial industry practitioners and regulators responsible for implementing risk management systems, to system integrators and software firms helping to improve such systems. Volume I examines the business and regulatory context that makes risk information so important. A vast set of techniques and processes have grown up over time, and without an understanding of the broader forces at work, it is all too easy to get lost in the details. This comprehensive resource explores the different issues involved in collecting, measuring and managing data in the financial services industry. Written by experts and leading figures in risk management and analysis, it sets out a clear vision for a structural and operational framework for a financial risk data repository. This item is printed on demand. Shipping may be from our UK warehouse or from our Australian or US warehouses, depending on stock availability.