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SET Collection. Risk management and financial institutions / Hull, John, 1946- / John Wiley & Sons - c2012
Collection Title: SET Collection Title : Risk management and financial institutions : + website Material Type: printed text Authors: Hull, John, 1946-, Author Edition statement: 3rd ed. Publisher: John Wiley & Sons Publication Date: c2012 ISBN (or other code): 978-1-11-826903-9 Languages : English (eng) Descriptors: [LCSH]Financial institutions -- Management
[LCSH]Risk managementKeywords: Risk management.
Financial management.Class number: HD61 .H83 2012 Contents note: Introduction.-- Banks.-- Insurance companies and pension plans.-- Matual funds and hedge funds.-- Trading in financial markets.-- The credit crisis of 2007.-- How traders manage their risks.-- Internet rate risk.-- Value at risk.-- Volatility.-- Correlations and copies.-- Basel I Basel II and solvency II.-- Basel2.5 Basel III and dodd-frank.-- Market risk VaR: the hsitorical simulation approach.-- Market risk VaR: The Model-Building Approach.-- Credit risk: Estmating degault probabilities.-- Counterparty credit risk in derivatives.-- Value at risk.-- Scenario analysis and stress testing.-- Operation risk.-- Liquidty risk.-- Model risk.-- Economic capital and RAROC.-- Risk management mistakes to Avoid.-- Curricular : BBA/GE/MBA Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=23892 SET Collection. Risk management and financial institutions : + website [printed text] / Hull, John, 1946-, Author . - 3rd ed. . - Chichester : John Wiley & Sons, c2012.
ISBN : 978-1-11-826903-9
Languages : English (eng)
Descriptors: [LCSH]Financial institutions -- Management
[LCSH]Risk managementKeywords: Risk management.
Financial management.Class number: HD61 .H83 2012 Contents note: Introduction.-- Banks.-- Insurance companies and pension plans.-- Matual funds and hedge funds.-- Trading in financial markets.-- The credit crisis of 2007.-- How traders manage their risks.-- Internet rate risk.-- Value at risk.-- Volatility.-- Correlations and copies.-- Basel I Basel II and solvency II.-- Basel2.5 Basel III and dodd-frank.-- Market risk VaR: the hsitorical simulation approach.-- Market risk VaR: The Model-Building Approach.-- Credit risk: Estmating degault probabilities.-- Counterparty credit risk in derivatives.-- Value at risk.-- Scenario analysis and stress testing.-- Operation risk.-- Liquidty risk.-- Model risk.-- Economic capital and RAROC.-- Risk management mistakes to Avoid.-- Curricular : BBA/GE/MBA Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=23892 Hold
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Barcode Call number Media type Location Section Status 32002000397313 HD61 H83 2012 Book Main Library SET Corner Available Value added risk management in financial institutions / Belmont, David P. / Hoboken, NJ - 2004
Title : Value added risk management in financial institutions : leveraging basel II & risk adjusted performance management Material Type: printed text Authors: Belmont, David P., Author Publisher: Hoboken, NJ Publication Date: 2004 Pagination: 322 p. Layout: ill., cloth Size: 24 cm. ISBN (or other code): 0470821159 Price: 3060 Baht Languages : English (eng) Descriptors: [LCSH]Financial institutions -- Management
[LCSH]Risk managementCurricular : BBA/MBA/MSM/PhDM Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=7987 Value added risk management in financial institutions : leveraging basel II & risk adjusted performance management [printed text] / Belmont, David P., Author . - Singapore : Hoboken, NJ, 2004 . - 322 p. : ill., cloth ; 24 cm.
ISBN : 0470821159 : 3060 Baht
Languages : English (eng)
Descriptors: [LCSH]Financial institutions -- Management
[LCSH]Risk managementCurricular : BBA/MBA/MSM/PhDM Record link: http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=7987 Hold
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Barcode Call number Media type Location Section Status 32002000188050 HD61 B451 2004 c.1 Book Graduate Library General Shelf Available