A practical guide to risk management / Thomas S. Coleman, [foreword by Robert Litterman].

Por: Coleman, Thomas Sedgwick, 1955-Colaborador(es): Litterman, Robert B.Tipo de material: TextoTextoDetalles de publicación: [S.l.] : Research Foundation of CFA Institute, 2011. Edición: 1ª ed.Descripción: x, 212 p. : ill. ; 23 x 15 cm.ISBN: 9781934667415; 1934667412Tema(s): GESTION DE RIESGOS FINANCIEROS | MERCADO CAPITALClasificación LoC:HD61 | .C645 2011
Contenidos:
Chapter 1: Risk management vs. risk mesasurement
Chapter 2: Risk, uncertainty, probability and luck
Chapter 3: Managing risk
Chapter 4: Financial risk events
Chapter 5: Measuring risk
Chapter 6: Uses and limitations of quantitative techniques
Chapter 7: Conclusion
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Includes bibliographical references (p. 207-212).

Chapter 1: Risk management vs. risk mesasurement

Chapter 2: Risk, uncertainty, probability and luck

Chapter 3: Managing risk

Chapter 4: Financial risk events

Chapter 5: Measuring risk

Chapter 6: Uses and limitations of quantitative techniques

Chapter 7: Conclusion

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