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Risk management

By: Material type: TextTextPublication details: 2000 McGraw-Hill Inc New YorkDescription: xxiii, 717p. 23 cm ; Hard BoundISBN:
  • 0-07-135731-9
Subject(s):
Contents:
1. The Need for Risk Management Systems 2. The New Regulatory and Corporate Environment 3. Structuring and Managing the Risk Management Function in a Bank 4. The New BIS Capital Requirements for Financial Risks 5. Measuring Market Risk: The VaR Approach 6. Measuring Market Risk: Extensions of the VaR Approach and Testing the Models 7. Credit Rating Systems 8. The Credit Migration Approach to Measuring Credit Risk
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1. The Need for Risk Management Systems
2. The New Regulatory and Corporate Environment
3. Structuring and Managing the Risk Management Function in a Bank
4. The New BIS Capital Requirements for Financial Risks
5. Measuring Market Risk: The VaR Approach
6. Measuring Market Risk: Extensions of the VaR Approach and Testing the Models
7. Credit Rating Systems
8. The Credit Migration Approach to Measuring Credit Risk

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