《金融风险管理(第5版)》改编自金融学国际专业专家安东尼·桑德斯教授和马西娅·科尼特教授共同撰写的《金融机构管理——一种风险管理方法》(Financial Institutions Management: A Risk Management Approach)第5版的中译本。《金融风险管理(第5版)》结构清晰,信息容量大,内容新而易懂,并融合了丰
Financial Risk Manager Handbook 2025 pdf epub mobi 电子书 图书描述 The essential reference for financial risk managementFilled with in-depth insights and practical advice, the "Financial Risk Manager Handbook" is the core text for risk management training programs worldwide. Presented in a clear and...
21世纪经济管理精品教材·金融学系列:金融风险管理 [Financial Risk Management] pdf epub mobi txt 电子书 下载 具体描述 内容简介 《21世纪经济管理精品教材·金融学系列:金融风险管理》通过运用最新的风险分析工具,对信用风险、流动性风险、市场风险、利率风险、汇率风险、证券投资组合风险、操作风险、法律风险及其他...
The Wiley Finance series contains books written speciically for inance and in- vestment professionals as well as sophisticated individual investors and their inancial advisors. Book topics range from portfolio management to e-commerce, risk man- agement, inancial engineering, valuation and inan...
... Get Financial Risk Management: Models, History, and Institutions now with the O’Reilly learning platform. O’Reilly members experience books, live events, courses curated by job role, and more from O’Reilly and nearly 200 top publishers. Start your free trial ...
最新版的Financial Risk Manager Handbook,FRM考试必备,是金融风险管理领域的经典著作了,之前看过该书的第五版,写得很好,很经典,包含了风险管理领域的各个方面。 强烈推荐!! 评分☆☆☆ 最新版的Financial Risk Manager Handbook,FRM考试必备,是金融风险管理领域的经典著作了,之前看过该书的第五版,写得很好,很...
Selected publications (books, articles, and op-eds) Selected Publications Unpublished opinion editorials Opinion Editorials Interests Financial Valuation Financial Risk Management Financial Derivatives Applied Philosophy (to finance) Education PhD in Finance, 1986 ...
GetThe AMA Handbook of Financial Risk Managementnow with the O’Reillylearning platform. O’Reilly members experience books, live events, courses curated by job role, and more from O’Reilly andnearly 200 top publishers. Start your free trial...
Financial risk management A widely accepted professional certification for senior risk managers is the financial risk management (FRM) that benchmarks knowledge regarding strategic areas of FRM including: credit, market, operational, and investment-management risks. Certification requires a passing score on...
JOHNC.HULListheMapleFinancialProfessorofDerivativesandRiskManagementattheJosephL.RotmanSchoolofManagement,UniversityofToronto,andcodirectorofRotman′sMasterofFinanceprogram.HehasbeenaconsultanttomanyNorthAmerican,Japanese,andEuropeanfinancialinstitutions,andistheauthorofthreebooks,whicharewidelyusedbybothpractitionersand...