Doprava zdarma se Zásilkovnou nad 1 499 Kč
PPL Parcel Shop 54 Balík do ruky 74 Balíkovna 49 PPL 99 Zásilkovna 54

Financial Risk Management

Jazyk AngličtinaAngličtina
Kniha Brožovaná
Kniha Financial Risk Management Jana Schönborn
Libristo kód: 01787912
Nakladatelství Diplomica, října 2010
After risk management and interest risk management in particular was primarily relevant for banks in... Celý popis
? points 110 b
1 095
Skladem u dodavatele Odesíláme za 14-18 dnů

30 dní na vrácení zboží


Mohlo by vás také zajímat


Standard for Risk Management in Portfolios, Programs, and Projects Project Management Institute / Brožovaná
common.buy 1 707
Taľafatky plus Ladislav Šimon / Brožovaná
common.buy 14
Quantitative Risk Management Alexander J. McNeil / Pevná
common.buy 2 878
Enterprise Risk Management Betty Simkins / Pevná
common.buy 2 662
ISO 31000 Gregory Hutchins / Brožovaná
common.buy 1 572
Financial Risk Management in Banking Gelder Joni Van / Brožovaná
common.buy 2 177
Quantitative Financial Risk Management Michael B. Miller / Pevná
common.buy 1 891
Risk Management Borghesi Antonio / Pevná
common.buy 3 313
Adenovirus DNA Walter Doerfler / Pevná
common.buy 6 578

After risk management and interest risk management in particular was primarily relevant for banks in the past, it is a crucial competition factor for all enterprises today. With increasing volatile financial markets and global competition CFOs are focusing more and more on an efficient measurement and management of interest rate risk. In this context this book aims to point out the risks of an adverse change in interest rates for a corporate portfolio of interest-bearing positions and show possibilities to measure and manage these risks.§First the scene for interest risk management in a corporate treasury of a service enterprise is set by providing essential knowledge about financial risk management and giving an insight into the characteristics of a service enterprise as well as the responsibilities of a corporate treasury and the factors that influence the treasury risk management approach. This is followed by a process-oriented instruction of how to quantify interest rate risk and how to manage it. Besides the risk measures duration and convexity, two different approaches to value at risk, the historical simulation and the variance-covariance-approach, will be examined.§For the management of the interest rate risk an overview of possible hedging instruments to reduce interest risk exposure will be given and their different strategies examined. All approaches will be measured against their practical feasibility and for both, the quantification and the management of interest rate risk, implications for the implementation in a service enterprise will be provided.

Informace o knize

Plný název Financial Risk Management
Jazyk Angličtina
Vazba Kniha - Brožovaná
Datum vydání 2010
Počet stran 66
EAN 9783836696180
ISBN 3836696185
Libristo kód 01787912
Nakladatelství Diplomica
Váha 133
Rozměry 178 x 254 x 3
Darujte tuto knihu ještě dnes
Je to snadné
1 Přidejte knihu do košíku a zvolte doručit jako dárek 2 Obratem vám zašleme poukaz 3 Kniha dorazí na adresu obdarovaného

Přihlášení

Přihlaste se ke svému účtu. Ještě nemáte Libristo účet? Vytvořte si ho nyní!

 
povinné
povinné

Nemáte účet? Získejte výhody Libristo účtu!

Díky Libristo účtu budete mít vše pod kontrolou.

Vytvořit Libristo účet