Risikomanagement: Banken, Versicherungen und andere Finanzinstitutionen. Front Cover. John Hull. Pearson, – Financial institutions. Risikomanagement: Banken, Versicherungen und andere Finanzinstitutionen ( Pearson Studium – Economic BWL) (German Edition) eBook: John C. Hull. Get this from a library! Risikomanagement Banken, Versicherungen und andere Finanzinstitutionen. [John Hull].
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Le livre se distingue par: This new fourth edition has been updated to reflect the major developments in the industry, including the finalization of Basel III, the fundamental risikomanagsment of the trading book, SEFs, CCPs, and the new rules affecting derivatives markets.
Hull, John 1946-
Optionen, Futures und andere Derivate by John Hull Book 13 editions published between and in German and held by WorldCat member libraries worldwide Hauptbd. Fundamentals of futures and options markets by John Hull Book editions published between and risikomanavement 4 languages and held by hkll, WorldCat member libraries worldwide This new edition presents a reader-friendly textbook with lots of numerical examples and accounts of real-life situations.
There are new chapters on enterprise risk management and scenario analysis. Funcionamiento de los mercados de opciones.
Model building techniques for management by John Hull Book 11 editions published between and in English and held by WorldCat member libraries worldwide.
Estrategias de cobertura con contratos de futuros. Options, futures, and other derivatives by John Hull Book editions published between and in 3 languages and held by 3, WorldCat member libraries worldwide Accompanying CD-ROM contains This book provides a complete picture of the risk management industry and practice, with the most up to date information.
How should the results of a sensitivity analysis be interpreted?
Most widely held works by John Hull. It also examines how trees riskomanagement lattices provide an alternative to the more complicated implicit finite difference method when valuing derivative instruments.
Hull, John [WorldCat Identities]
Risk management and financial institutions by John Hull editions published between and in 4 languages and held by 1, WorldCat member libraries worldwide ‘Risk management and financial institutions’ explains all aspects of financial risk and financial institution regulation, helping readers better understand the financial markets and potential dangers.
Comprehensive ancillary materials include software, practice questions, and all necessary teaching supplements, facilitating more complete understanding and providing an ultimate learning resource.
Hull, John Overview. Solutions manual [to accompany] Options, futures, and other derivatives by John Hull Book 24 editions published between null in English and held by WorldCat member libraries worldwide As in the sixth edition, end-of-chapter problems are divided into two groups: Readers learn the different types of risk, how and where they appear in different types of institutions, and how the regulatory structure of each institution affects risk management practices.
Risikomanagement: Banken, Versicherungen und andere Finanzinstitutionen
Project Page Feedback Known Problems. It discusses in detail how companies can make effective use of sensitivity analyses, risk simulations and other techniques, and deals in depth with important issues, such as: Solutions Manual which is published by Pearson and can be purchased by students. L’autore ha dosato con particolare attenzione l’uso degli strumenti matematici, in modo che il testo sia di agevole utilizzo per gli studenti universitari e possa soddisfare le esigenze di coloro che operano a livello professionale sui mercati finanziari.
Futures et options principes fondamentaux by John Hull Book 5 editions published in in French and held by WorldCat member libraries worldwide. The evaluation of risk in business investment by John Hull Book 18 editions published between and in English and held by WorldCat member libraries worldwide Provides finance specialists in industry and students of management with a comprehensive set of practical procedures for evaluating the total risk in the major capital investment decisions facing a business.
Introduction to futures and options markets by John Hull Book 53 editions published between and in English and Japanese and held by WorldCat member libraries worldwide Covers options, futures, and other derivative securities.
Most widely held works about John Hull. Optionen, Futures und andere Derivate by John Hull Book 16 editions published between and in German and held by WorldCat member libraries worldwide In beeindruckender Weise verbindet der Autor auch in der 7.
Risikomanagement: Banken, Versicherungen und andere Finanzinstitutionen – John Hull – Google Books
How can dependencies between variables be dealt with in a practical way? All financial professionals need a thorough background in risk and the interlacing connections between financial institutions to better understand the market, defend against systemic dangers, and perform their jobs.
Options, futures, hhll other derivative securities by John Hull Book 54 editions published between and in 4 languages and held by WorldCat member libraries worldwide Recoge: