Managing and measuring risk emerging global standards and regulation after the financial crisis /
I tiakina i:
Kaituhi rangatōpū: | |
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Ētahi atu kaituhi: | , |
Hōputu: | Tāhiko īPukapuka |
Reo: | Ingarihi |
I whakaputaina: |
[Hackensack] N.J. :
World Scientific,
c2013.
|
Rangatū: | World Scientific series in finance ;
v. 5. |
Ngā marau: | |
Urunga tuihono: | An electronic book accessible through the World Wide Web; click to view |
Ngā Tūtohu: |
Tāpirihia he Tūtohu
Kāore He Tūtohu, Me noho koe te mea tuatahi ki te tūtohu i tēnei pūkete!
|
Rārangi ihirangi:
- pt. A. The evolution of risk management
- pt. B. Sovereign and systemic risk
- pt. C. Liquidity
- pt. D. Risk management principles and strategies
- pt. E. Credit risk
- pt. F. Equity risk and market crashes.