0
17 years of experience17 years of Excellence
SUBJECTS
ADV. SEARCH
Indian Books on Discounts
   Dealing With Financial Risk
 

Dealing With Financial Risk

by David Shirreff

  Price : Rs 295.00
  Your Price : Rs 265.50
Discount
10
Out of Stock
  The concept of financial risk and the realties of financial risk management.

Understanding risk and weighing risk against reward have become central to all commercial activity in particular to the financial markets.The concept of risk management used to refer to exclusively to the insurance industry but it was hijacked by wizards in financial institutions in the1980s, initially to make their gambling in the markets seem more respectable.Good risk management requires a constant sharpening of one’s awareness to new risks and to the probabilities of different outcomes.
This guide will increase the reader’s risk awareness, by presenting concepts in a simple and entertaining way, and by explaining the endeavours, mistakes and successes of others, as they have tried to identify, measure and simplify risk, and make it work for them.

It looks at swaps, futures, options, derivatives, hedging principles, formulas, Monte Carlo simulations, chaos theory, neural networks, Raron (or risk-adjusted rate of return on capital), stress tests, worst case scenarios and all kinds of games that are played in the cause of managing risk.

With great panache, colour and clarity David Shirreff does a remarkable job of throwing light on one of the most complicated aspects of business and finance.

Content: Acknowledgement • Introduction Part 1 Financial risk: an endless challenge: The growth of modern financial markets • Market theory • Derivatives and leverage • Temples to risk management • Models for Everyman • Credit models get a thrashing • The rise of the firm wide risk manager • Basel 2 is born – a new regulatory regime • In praise f liquidity, funding and time horizons • Art exhibitions • Sibylline books • The play’s the thing • What lies ahead Part 2 Risk in practice: real and simulated examples: • Lessons from metallgesellschaft • Lessons from the collapse of long-Term capital management • The crash of mulhouse brand • The sigma affair • References • Glossary of key terms ISBN - 9781861975911
 


Pages : 214
Credit Cards
Payment accepted by All Major Credit and Debit Cards, Net Banking, Cash Cards, Paytm, UPI, Paypal. Our payment gateways are 100% secure.
Check Delivery
Books by Same Author
10%
Dealing with Financial Risk
by David Shirreff
10%
Dealing With Financial Risk
by David Shirreff
Books of Similar Interest
10%
Cancer Virus: The story of Epstein-Barr Virus
by CRAWFORD, RICKINSON & JOHANNESSEN
20%
Expert Techniques in Ophthalmic Surgery
by Myron Yanoff, Parul Ichhpujani
10%
Oxford English-Urdu Mini Dictionary
by RAUF PAREKH
10%
Aviral Hindi Pathmala -2
by Laxmi Jain
15%
PLATES : THEORIES AND APPLICATIONS
by K.BHASKAR
Best Book Mart
Support

Call Us Phone : +91-9266663909
Email Us Email : support [at] bestbookmart.com
Working Hours Timing : 10:00 AM to 6:00 PM (Mon-Fri)
Powered By
CCAvenue
SSL Protection