Hasil Pencarian  ::  Simpan CSV :: Kembali

Hasil Pencarian

Ditemukan 33798 dokumen yang sesuai dengan query
cover
Allen, Steven
"Contents
Foreword -- Preface -- Acknowledgments -- Introduction -- Institutional background -- Operational risk -- Financial disasters -- The systemic disaster of 2007-2008 -- Managing financial risk -- VaR and stress testing -- Model risk -- Managing spot risk -- Managing forward risk -- Managing vanilla options risk -- Managing exotic options risk -- Credit risk -- Counterparty credit risk -- Bibliography -- About the companion website -- Index.
"
New Jersey: John Wiley & Sons, 2013
658.15 ALL f
Buku Teks SO  Universitas Indonesia Library
cover
Jorion, Philippe
New York: McGraw-Hill, 2007
658.159 5 JOR v
Buku Teks SO  Universitas Indonesia Library
cover
"Addresses such topics as : hierarchical and ultrametric models of financial crashes, dynamic hedging, arbitrage free modeling the term structure of interest rates, agent based modeling of order flow, asset pricing in a fractional market, hedge funds performance and more. "
Berlin: Springer, 2012
e20397140
eBooks  Universitas Indonesia Library
cover
Gastineau, Gary L.
New York: Frank J. Fabozzi Associates, 1996
R 658.15503 GAS d
Buku Referensi  Universitas Indonesia Library
cover
Caouette, John B.
New York: John Wiley & Sons, 1998
332.7 CAO m
Buku Teks SO  Universitas Indonesia Library
cover
New Jersey: John Wiley & Sons Inc, 2008
332.7 Man
Buku Teks  Universitas Indonesia Library
cover
Hampton, John J., 1942-
"Managing financial risks comes down to understanding how to reduce a complex business environment into workable concepts and models. "The AMA Handbook of Financial Risk Management" provides readers with the tools they need for dealing with the most important areas of financial decision making. Filled with strategies, principles, and measurement techniques, the book shows readers how to: categorize financial risks; reduce risks from cash flow and budget exposures; analyze operating risks; understand assessments or risk and return; and, manage risks in capital investment decisions. Providing both explanations and practical applications, the book clarifies the factors that affect the value of a firm, considerations such as time and the proper use of debt, and risks inherent in the capital structure of the firm and the valuation of business combinations. This is a comprehensive guide that enables risk managers and anyone involved in the financial management of an organization to know what factors are at stake and how to protect their bottom line.;"
New York: American Management Association, 2011
e20437310
eBooks  Universitas Indonesia Library
cover
"Academic finance research has shown that emerging markets still suffer from a myriad of risks such as credit, operational, market, legal and exchange rate risks. The onset of the subprime crisis 2007, the global financial crisis 2008-2009, and the Eurozone public debt crisis since the end of 2009 has brought to the light a number of emerging markets facing tumbling currencies, rising inflation, slowing growth, heavy dependence on foreign capital, and high levels of vulnerability to external shocks due to increased market integration. This context calls for not only a reconsideration of recent risk assessment models and risk management practices, but also the improvement and innovation of these models and practices. Factors such as liquidity, tail dependence, comovement, contagion, and timescale interactions have thus to be part of an integrated risk assessment and management framework. This book addresses three main dimensions of risk management in emerging markets: 1) the effectiveness of risk management practices; 2) current issues and challenges in risk assessment and modelling in emerging market countries; 3) the responses of emerging markets to the recent financial crises and the design of risk management models."
United Kingdom: Emerald, 2016
e20469599
eBooks  Universitas Indonesia Library
cover
Hull, John, 1946-
"Risk Management and Financial Institutions explains all aspects of financial risk and financial institution regulation, helping readers better understand the financial markets and potential dangers. This new fourth edition has been updated to reflect the major developments in the industry, including the finalization of Basel III, the fundamental review of the trading book, SEFs, CCPs, and the new rules affecting derivatives markets. There are new chapters on enterprise risk management and scenario analysis. Readers learn the different types of risk, how and where they appear in different types of institutions, and how the regulatory structure of each institution affects risk management practices. Comprehensive ancillary materials include software, practice questions, and all necessary teaching supplements, facilitating more complete understanding and providing an ultimate learning resource."
New Jersey : John Wiley & Sons, 2015
332.106 81 HUL r
Buku Teks  Universitas Indonesia Library
cover
Pozen, Robert C.
California: St.Paul, Minn, 1978
332 POZ f
Buku Teks SO  Universitas Indonesia Library
<<   1 2 3 4 5 6 7 8 9 10   >>