Book Of Financial Risk Management - Jerry Aaron - Grāmatas -  - 9798472708197 - 2021. gada 7. septembris
Ja vāks un nosaukums nesakrīt, pareizs ir nosaukums

Book Of Financial Risk Management


Saņemt e-pastu, kad prece būs pieejama
Do you have a profile? Pierakstīties
Saņemiet paziņojumus par jauniem Jerry Aaron izdevumiem
Pievienot savam iMusic vēlmju sarakstam

Not rated yet

Risk management in finance is an essential element for any business to become successful. Financial risk management allows employees to guide a company when difficult situations arise in the financial market. It helps enterprises create strategies to avoid losses and maximize profits as much as possible.

Topics that are discussed in this book:

- The Benefits of Risk Management
- The basic concepts and vocabulary of risk management you must know
- Enterprise risk management, including crucial questions for your analysis to be a success and much more
- Risk management models and 'The Greeks'
- Credit risk management, including, for example, 3 ways to managing risk on a credit portfolio
- Essential aspects of market risk management
- Operational risk management
- Hedging your bets
- Managing assets and portfolios
- Losses and limits
- Instruments for managing risk
- And Much, Much More

Mediji Grāmatas     Paperback Book   (Grāmata ar mīksto vāku un līmēto muguru)
Izlaists 2021. gada 7. septembris
ISBN13 9798472708197
Lapas 56
Izmēri 152 × 229 × 3 mm   ·   95 g
Valoda Angļu