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Quantitative Financial Risk Management

Financial Risk Management: Theory and Practice provides an invaluable guide to the most recent and innovative research on the topics of financial;

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Advances in Heavy Tailed Risk Modeling

Insurance Analytics: A Handbook of Operational Risk, the handbook provides a complete framework for all aspects of operational risk management and;

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Corporate Risk Management

An updated review of the theories and applications of corporate risk management After the financial crisis of 2008, issues concerning;

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Credit Risk Management In and Out of the Financial Crisis

Understanding credit risk measurement is now more important than ever. Credit Risk Management In and Out of the Financial Crisis will solidify your;

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Credit Risk Management

This book introduces to basic and advanced methods for credit risk management. It covers classical debt instruments and modern financial;

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Multi-Asset Risk Modeling

income, futures and derivatives, commodities, and foreign exchange, as well as advanced algorithmic and electronic risk management. Beginning;

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Financial Modeling with Crystal Ball and Excel

essential skills in the areas of valuation, pricing, hedging, trading, risk management, project evaluation, credit risk, and portfolio management;

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Contributions to Credit Portfolio Modeling and Optimization

graduate students in the field of financial risk management.;

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Econometric Modeling of Value at Risk

Recently risk management has become a standard prerequisite for all financial institutions. Value-at-Risk is the main tool of reporting to;

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Country Risk Evaluation

graduate courses in finance and financial risk management.;

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Financial Modeling, Actuarial Valuation and Solvency in Insurance

in the financial and actuarial industry, especially those in charge of internal risk management systems. Readers should have a good background;

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Financial Modeling, Actuarial Valuation and Solvency in Insurance

in the financial and actuarial industry, especially those in charge of internal risk management systems. Readers should have a good background;

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Bayesian Methods in Finance

, the authors focus on portfolio management and market risk management-since these are the areas in finance where Bayesian methods have had the;

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New Methods in Fixed Income Modeling

research in the field of fixed incomes and financial markets has raised awareness for changes in market risk management strategies. The book offers;

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Econometrics and Risk Management

The main theme of this volume is credit risk and credit derivatives. Recent developments in financial markets show that appropriate;

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Risk Modeling for Hazards and Disasters

Risk Modeling for Hazards and Disasters covers all major aspects of catastrophe risk modeling, from hazards through to financial;

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Financial Risk Management

of finance for understanding the world today.Financial Risk Management is equally suitable for firm risk managers, economists, and policy;

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Analytical Techniques in the Assessment of Credit Risk: An Overview of Methodologies and Applications

practices. Using examples and fully worked case applications, the book is a valuable resource for advanced courses in financial risk management, but;

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Handbooks In Operations Research And Management Science

pricing financial derivatives, building models of interest rates and credit risk, pricing and hedging in incomplete markets, risk management, and;

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Extreme Value Modeling and Risk Analysis

applications of extreme value modeling, including financial investments, insurance and financial risk management, weather and climate disasters;

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Assessing Risk Assessment

Christian Hugo Hoffmann undermines the citadel of risk assessment and management, arguing that classical probability theory is not an;

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Weather Derivatives

area of weather risk, and this volume will appeal to graduate-level students and researchers studying financial mathematics, risk management;

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Weather Derivatives

area of weather risk, and this volume will appeal to graduate-level students and researchers studying financial mathematics, risk management;

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Operational Risk Modeling in Financial Services

between risk quantification and risk management. This book details the XOI framework and provides essential guidance for practitioners looking to;

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Mathematics Of Financial Models

and numerical analysis that are used to build the quantitative methods used. Financial analysts, investment professionals, risk-management;

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Financial Risk Management For Dummies

Take the risk out of financial risk management Written by bestselling author and past winner of the GARP Award's Risk Manager of the Year;

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