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The Credit Risk of Complex Derivatives (Finance and Capital Markets Series)
The Credit Risk of Complex Derivatives (Finance and Capital Markets Series)
Author: Erik Banks | Publisher: Palgrave Macmillan
Since the publication of the 2nd edition of The Credit Risk of Complex Derivatives in 1997, the world of derivatives has gone through a period of dramatic change in the external operating environment, product and market characteristic and risk management techniques. In the light of these changes, the text has been substantially reorganized, updated and expanded. Several new chapters have been added including: derivative losses risk governance and risk management efforts regulatory initiatives and advances credit risk portfolio models Aimed at c
Added: 10.05.2007ISBN: 1403916691Pages: 450Price: £ 118,75Lang.: English 
The Crunch: The Scandal of Northern Rock and the Escalating Credit Crisis
The Crunch: The Scandal of Northern Rock and the Escalating Credit Crisis
Author: Alex Brummer | Publisher: Random House Business Books
Alex Brummer traces the course of the recent financial crisis from its origins in the U.S. subprime market to its explosion onto the international scene, and reveals the potentially disastrous path down which we’re all being led.
Added: 29.05.2008ISBN: 1847940080Pages: 320Price: £ 7,19Lang.: EnglishRecommended
The Hedge Fund Compliance and Risk Management Guide (Wiley Finance)
The Hedge Fund Compliance and Risk Management Guide (Wiley Finance)
Author: Armelle Guizot | Publisher: John Wiley & Sons
"The Hedge Fund Compliance and Risk Management Guide" provides you with a broad examination of the most important compliance and risk management issues associated with today's hedge funds. Straightforward and accessible, this invaluable resource covers everything from how hedge funds continue to generate lucrative returns to why some use sophisticated instruments and financial engineering to get around fundamental regulatory laws.
Added: 09.05.2007ISBN: 0470043571Pages: 448Price: £ 42,90Lang.: English 
The New Financial Order: Risk in the 21st Century
The New Financial Order: Risk in the 21st Century
Author: Robert J. Shiller | Publisher: Princeton University Press
In his best-selling Irrational Exuberance, Robert Shiller cautioned that society's obsession with the stock market was fueling the volatility that has since made a roller coaster of the financial system. Less noted was Shiller's admonition that our infatuation with the stock market distracts us from more durable economic prospects. These lie in the hidden potential of real assets, such as income from our livelihoods and homes. But these ''ordinary riches,'' so fundamental to our well-being, are increasingly exposed to the pervasive risks of a r
Added: 09.05.2007ISBN: 0691120110Pages: 384Price: £ 12,49Lang.: English 
The New Generation of Risk Management for Hedge Funds and Private Equity Investments
The New Generation of Risk Management for Hedge Funds and Private Equity Investments
Author: Lars Jaeger | Publisher: Euromoney Books
The New Generation of Risk Management for Hedge Funds and Private Equity Investments has been designed to address issues that raise disquiet among investors in alternative investments. This book describes and evaluates the unique risks affecting individual hedge fund strategies, private equity investments and generic risks of types of alternative investment strategies. Ensuring that both institutional investors and private investors have the information they need to be able to evaluate their investment advice and effectively allocate and manage
Added: 04.05.2007ISBN: 1843741350Pages: 462Price: £ 145,00Lang.: English 
The New Paradigm for Financial Markets: The Credit Crisis of 2008 and What It Means
The New Paradigm for Financial Markets: The Credit Crisis of 2008 and What It Means
Author: George Soros | Publisher: PublicAffairs,U.S.
In the midst of the most serious financial upheaval since the Great Depression, legendary financier George Soros explores the origins of the crisis and its implications for the future. Soros, whose breadth of experience in financial markets is unrivaled, places the current crisis in the context of decades of study of how individuals and institutions handle the boom and bust cycles that now dominate global economic activity. “This is the worst financial crisis since the 1930s,” writes Soros in characterizing the scale of financial distress s
Added: 29.05.2008ISBN: 1586486837Pages: 208Price: £ 7,74Lang.: English 
The Operational Risk Manager's Guide: How to Understand Methodologies, Policies and Proced
The Operational Risk Manager's Guide: How to Understand Methodologies, Policies and Procedures
Author: Sergio Scandizzo | Publisher: Risk Books
Scandizzo highlights the requisite set of skills and competences that a successful operational risk manager must possess and discusses the key requirements of the role, such as how to: write an operational risk policy; develop strong working relationships with senior management, front and back office staff, IT, compliance and audit professionals; advise management on the identification and mitigation of operational risks; embed a culture of risk management throughout the business; and develop, maintain and review a risk management framework. Wr
Added: 09.05.2007ISBN: 1904339751Pages: 150Price: £ 249,00Lang.: English 
The Professional's Handbook of Financial Risk Management
The Professional's Handbook of Financial Risk Management
Author: Lev Borodovsky, Marc Lore | Publisher: Butterworth-Heinemann
The Professional's Handbook of Financial Risk Management is a major reference work in finance. A complete practical reference book covering all aspects of financial risk management including an in-depth look at operational risk management, regulation, risk-based capital, and risk adjusted performance measurement. The book focuses on practical financial risk management techniques and solutions, and is designed to guide the risk professional step-by-step through the implementation of a firm-wide risk management framework.
Added: 04.05.2007ISBN: 0750641118Pages: 832Price: £ 237,50Lang.: English 
The Tolerability of Risk: A New Framework for Risk Management (Risk, Society & Policy)
The Tolerability of Risk: A New Framework for Risk Management (Risk, Society  &  Policy)
Author: Frederic Bouder, David Slavin, Ragnar Lofstedt | Publisher: Earthscan Ltd
There is increasing dissatisfaction with how risk is regulated. This is leading to vivid debates about the use of 'risk assessment' and 'precaution' and, as a result, academics, government officials and industry leaders are calling for new approaches and fresh ideas. The book provides a historical and topical perspective on the alternative concept of 'Tolerability of Risk' (TOR) and its concrete regulatory applications. In the UK, "Tolerability of Risk" has been developed into a sophisticated framework particularly within the health and safety
Added: 09.05.2007ISBN: 184407398XPages: 176Price: £ 47,45Lang.: English 
The Upside: From Risk Taking to Risk Shaping - How to Turn Your Greatest Threat into Your
The Upside: From Risk Taking to Risk Shaping - How to Turn Your Greatest Threat into Your Biggest Growth Opportunity
Author: Adrian Slywotzky | Publisher: Capstone
Added: 09.05.2007ISBN: 184112785XPages: 288Price: £ 11,89Lang.: English 
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