Dermot Turing, Elizabeth Cramb:Managing Risk in Financial Firms: The Practicalities Without the Maths (Second E
- Taschenbuch ISBN: 9781847663030
Subtitle the Practicalities without the Maths. No maths or modeling, just practical advice. Breaking the subject down in to three main sections, it examines: Risks associated with the mar… Mehr…
Subtitle the Practicalities without the Maths. No maths or modeling, just practical advice. Breaking the subject down in to three main sections, it examines: Risks associated with the market. market and liquidity risk Risks arising from counterparties. The Nile on eBay FREE SHIPPING UK WIDE Managing Risk in Financial Firms: The Practicalities Without the Maths (Second Edition) by Dermot Turing An analysis of the types of risk that financial institutions may face. It offers comprehensive advice on putting in place measures to minimise exposure to risk. It is suitable for those working within a financial institution who have no risk measurement expertise but who are inevitably involved in the risk management function of that institution. FORMATPaperback LANGUAGEEnglish CONDITIONBrand New Publisher Description Now more than ever there is a need for lawyers to understand the concepts of risk management and to have a wider grasp of the risk-related issues facing a firm. Managing Risk in Financial Firms, 2nd edition provides a detailed analysis of the types of risk that financial institutions may face and also offers authoritative and comprehensive advice on putting in place measures to minimise exposure to risk. No maths or modeling, just practical advice. This book is not about the creation of mathematical models to gauge risk and offers no classes in algebraic calculation. It explains why there is significantly more to risk management than the now discredited VAR modelling techniques and describes a range of effective risk management methods to address various types of risk. It is essential reading for all those working within a financial institution who have no risk measurement expertise but who are inevitably involved in the risk management function of that institution.This reworked and revised second edition looks at the different sources that pose a potential risk to organisations.Breaking the subject down in to three main sections, it examines: Risks associated with the market - market and liquidity risk Risks arising from counterparties - customer, credit and counterparty risks Risks which may be found closer to home - such as operational and legal and regulatory risk Important new content This new edition also provides checklists and diagrammatic explanations and illustrations, along with essential new material on: Insolvency legislation Customer issues including: unfair contract terms, treating customers fairly, best execution Liquidity risk 4 KEY reasons why you need a copy of this book: Provides a clear explanation of the risk management terms and techniques relevant to a financial institution Practical and easy-to-follow - it bridges the gap between the risk modelers and those who have no risk measurement expertise but who are inevitably involved in the risk m Author Biography Authors Bio, not available Table of Contents Contents 1. Introduction to Risk 2. Risk Measurement 3. Regulatory Risk 4. Customer Risk 5. Business Risk 6. Operational Risks 7. Market Risk 8. Liquidity Risk 9. Credit risk 10. Counterparty risk 11. Legal Risk 12. Systemic Risk Long Description Now more than ever there is a need for lawyers to understand the concepts of risk management and to have a wider grasp of the risk-related issues facing a firm. Managing Risk in Financial Firms, 2nd edition provides a detailed analysis of the types of risk that financial institutions may face and also offers authoritative and comprehensive advice on putting in place measures to minimise exposure to risk. No maths or modeling, just practical advice. This book is not about the creation of mathematical models to gauge risk and offers no classes in algebraic calculation. It explains why there is significantly more to risk management than the now discredited VAR modelling techniques and describes a range of effective risk management methods to address various types of risk. It is essential reading for all those working within a financial institution who have no risk measurement expertise but who are inevitably involved in the risk management function of that institution.This reworked and revised second edition looks at the different sources that pose a potential risk to organisations. Breaking the subject down in to three main sections, it examines: Risks associated with the market . market and liquidity risk Risks arising from counterparties . customer, credit and counterparty risks Risks which may be found closer to home . such as operational and legal and regulatory risk Important new content This new edition also provides checklists and diagrammatic explanations and illustrations, along with essential new material on: Insolvency legislation Customer issues including: unfair contract terms, treating customers fairly, best execution Liquidity risk 4 KEY reasons why you need a copy of this book: Provides a clear explanation of the risk management terms and techniques relevant to a financial institution Practical and easy-to-follow . it bridges the gap between the risk modelers and those who have no risk measurement expertise but who are inevitably involved in the risk m Details ISBN1847663036 Short Title MANAGING RISK IN FINANCIAL FIR Publisher Tottel Publishing Language English ISBN-10 1847663036 ISBN-13 9781847663030 Media Book Format Paperback Year 2009 Publication Date 2009-04-30 Pages 324 Edition 2nd Imprint Tottel Publishing Subtitle the Practicalities without the Maths Place of Publication Haywards Heath Country of Publication United Kingdom DEWEY 332.10681 Author Dermot Turing Edition Description Revised UK Release Date 2009-05-29 NZ Release Date 2009-05-29 Illustrations Illustrations AU Release Date 2009-05-30 We've got thisAt The Nile, if you're looking for it, we've got it.With fast shipping, low prices, friendly service and well over a million items - you're bound to find what you want, at a price you'll love! 30 DAY RETURN POLICYNo questions asked, 30 day returns! FREE DELIVERYNo matter where you are in the UK, delivery is free. SECURE PAYMENTPeace of mind by paying through PayPal and eBay Buyer Protection TheNile_Item_ID:20519839; , Festpreisangebot, [LT: FixedPrice], ISBN-13: 9781847663030, Book Title: Managing Risk in Financial Firms: The Practicalities Without the, EAN: 9781847663030, Publication Year: 2009, Type: Textbook, Format: Paperback, Language: English, Publication Name: Managing Risk in Financial Firms: the Practicalities without the Maths, Item Height: 297mm, Item Width: 210mm, Subject: Law, Number of Pages: 336 Pages, Bloomsbury Publishing<
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Dermot Turing, Elizabeth Cramb:Managing Risk in Financial Firms: the Practicalities without the Maths
- Taschenbuch 2009, ISBN: 9781847663030
Tottel Publishing, Paperback, Auflage: 2, 336 Seiten, Publiziert: 2009-05-27T00:00:01Z, Produktgruppe: Book, Hersteller-Nr.: 9781847663030, 0.9 kg, Verkaufsrang: 5093330, Books Global Sto… Mehr…
Tottel Publishing, Paperback, Auflage: 2, 336 Seiten, Publiziert: 2009-05-27T00:00:01Z, Produktgruppe: Book, Hersteller-Nr.: 9781847663030, 0.9 kg, Verkaufsrang: 5093330, Books Global Store, Special Features, Books, Business, Finance & Law, Subjects, Tottel Publishing, 2009<
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Turing, Dermot, Cramb, Elizabeth:Managing Risk in Financial Firms: The Practicalities without the Maths
- Taschenbuch 2009, ISBN: 9781847663030
Tottel Publishing, Taschenbuch, Auflage: 2, 324 Seiten, Publiziert: 2009-05-01T00:00:01Z, Produktgruppe: Book, Hersteller-Nr.: 9781847663030, 1 kg, Recht, Kategorien, Bücher, Format: Illu… Mehr…
Tottel Publishing, Taschenbuch, Auflage: 2, 324 Seiten, Publiziert: 2009-05-01T00:00:01Z, Produktgruppe: Book, Hersteller-Nr.: 9781847663030, 1 kg, Recht, Kategorien, Bücher, Format: Illustriert, Tottel Publishing, 2009<
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Dermot Turing:Managing Risk in Financial Firms: The Practicalities without the Maths (Second Edition)
- neues Buch 2009, ISBN: 9781847663030
2009-05-31. New. Ships with Tracking Number! INTERNATIONAL WORLDWIDE Shipping available. May be re-issue. Buy with confidence, excellent customer service!, 2009-05-31, 6
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Cramb, Elizabeth/ Turing, Dermot:Managing Risk in Financial Firms: The Practicalities without the Maths
- Taschenbuch 2009, ISBN: 9781847663030
Tottel Pub Ltd, 2009. Paperback. New. 2nd edition. 324 pages. 11.25x8.00x0.75 inches., Tottel Pub Ltd, 2009, 6
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