by
Servigny, Arnaud de.
Format:
Books
Publication Date
2004
Excerpt:
Standard and Poor's guide to measuring and managing credit risk
by
Dubofsky, David A.
Table of contents only http://www.loc.gov/catdir/enhancements/fy0611/2001133061-t.html
Publisher description http://www.loc.gov/catdir/enhancements/fy0611/2001133061-d.html
Publisher description http://www.loc.gov/catdir/enhancements/fy0611/2001133061-d.html
Format:
Books
Publication Date
2003
Excerpt:
Derivatives : valuation and risk management / Dubofsky, David A.
by
Cuthbertson, Keith.
Format:
Books
Publication Date
2001
Excerpt:
Financial engineering : derivatives and risk management / Cuthbertson, Keith.
by
Kaye, George.
Format:
Books
Publication Date
2013
Excerpt:
The value of uncertainty : Dealing with risk in the equity derivatives market. Kaye, George.
by
Laopodis, Nikiforos, 1961-
Format:
Books
Publication Date
2013
Excerpt:
Risk management.
by
Maymin, Philip Z..
Format:
Books
Publication Date
2012
Excerpt:
Risk management.
by
Durbin, Michael.
Format:
Books
Publication Date
2011
Excerpt:
-- The option contract -- Credit derivatives -- Using derivatives to manage risk -- Pricing forwards and
by
Choudhry, Moorad.
Format:
Books
Publication Date
2010
Excerpt:
-- Options -- Measuring option risk -- Credit derivatives -- The analysis of bonds with embedded options
by
Jacque, Laurent L.
Format:
Books
Publication Date
2010
Excerpt:
counter-party risk but also operational risk in their use for risk management and proprietary trading
by
Hull, John, 1946-
Format:
Books
Publication Date
2009
Excerpt:
procedures -- Value at risk -- Estimating volatilities and correlations for risk management -- Credit risk
by
Chance, Don M.
Format:
Books
Publication Date
2003
Excerpt:
Risk management.
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