Isbn: 9786204211848 - financial risk management for basel iii and solvency ii: novel methods: second edition of the author’s book accepted by bookauthority in "100 best financial risk management books of all time" (4 resultados)

ISBN: 
Refinar con la Búsqueda avanzada

Filtrar la búsqueda

  • Libros (4)

  • Nuevo (4)

a

Intervalo de precios personalizado (EUR)

a

  • Idioma: Inglés

    Editorial: LAP LAMBERT Academic Publishing, 2021

    6204211846 / 9786204211848

    • Tapa blanda

    Librería: preigu, Osnabrück, Alemaniapreigu

    Vendedor de 5 estrellas
    Contactar con el vendedor

    Condición: Nuevo

    EUR 64,10

    Envío por EUR 70,00 
    Se envía de Alemania a Estados Unidos de America

    Cantidad disponible: 5 disponibles

    Taschenbuch. Condición: Neu. Financial Risk Management for Basel III and Solvency II: Novel Methods | Second Edition of the author's book accepted by BookAuthority in "100 Best Financial Risk Management Books of All Time" | Vojo Bubevski | Taschenbuch | Englisch | 2021 | LAP LAMBERT Academic Publishing | EAN 9786204211848 | Verantwortliche Person für die EU: preigu GmbH & Co. KG, Lengericher Landstr. 19, 49078 Osnabrück, mail[at]preigu[dot]de | Anbieter: preigu.…

  • Idioma: Inglés

    Editorial: LAP LAMBERT Academic Publishing, 2021

    6204211846 / 9786204211848

    • Tapa blanda
    • Impresión bajo demanda

    Librería: moluna, Greven, Alemaniamoluna

    Vendedor de 5 estrellas
    Contactar con el vendedor

    Condición: Nuevo

    EUR 61,11

    Envío por EUR 48,99 
    Se envía de Alemania a Estados Unidos de America

    Cantidad disponible: Más de 20 disponibles

    Condición: New. Dieser Artikel ist ein Print on Demand Artikel und wird nach Ihrer Bestellung fuer Sie gedruckt. Autor/Autorin: Bubevski VojoThe author has a Computer Science & Informatics degree - the University of Zagreb, background in Information Systems Analysis & Design, Mathematics, Operations Research, Modelling & Simulation, and Risk & Decision Analys.…

  • Idioma: Inglés

    Editorial: LAP LAMBERT Academic Publishing, 2021

    6204211846 / 9786204211848

    • Tapa blanda
    • Impresión bajo demanda

    Librería: AHA-BUCH GmbH, Einbeck, AlemaniaAHA-BUCH GmbH

    Vendedor de 5 estrellas
    Contactar con el vendedor

    Condición: Nuevo

    EUR 76,81

    Envío por EUR 35,00 
    Se envía de Alemania a Estados Unidos de America

    Cantidad disponible: 1 disponible

    Taschenbuch. Condición: Neu. nach der Bestellung gedruckt Neuware - Printed after ordering - 'Financial Risk Management for Basel III and Solvency II: Novel Methods' is the Second Edition of the author's book 'Six Sigma Improvements for Basel III and Solvency II in Financial Risk Management' which is accepted by the Book Authority in '100 Best Financial Risk Management Books of All Time'. This book is practical and it is purposed for Financial Risk Management professionals, incl. managers, risk managers, risk analysts, academics and degree students teaching/studying Finance, Risk Management, Risk and Decision Analysis, and Operations Research. The methods applied in the book are Stochastic Models, Simulation, Optimisation, Six Sigma DMAIC, Neural Networks, Markov Chain Monte Carlo, Sensitivity Analysis and What-If Analysis. The book elaborates on Risk Management in Loans, Credits, Payments, Stock Market, Stock Prices, Liquidity, Interest Rates, Forex, and Insurance Claims. Bernstein stated, 'the risk will always be there, so we must explore many interesting tools that can help us to control risks we cannot avoid taking' (Bernstein & Damodaran 1998). The methods presented in this book are one such tool.…

  • Idioma: Inglés

    Editorial: LAP LAMBERT Academic Publishing Okt 2021, 2021

    6204211846 / 9786204211848

    • Tapa blanda
    • Impresión bajo demanda

    Librería: buchversandmimpf2000, Emtmannsberg, BAYE, Alemaniabuchversandmimpf2000

    Vendedor de 5 estrellas
    Contactar con el vendedor

    Condición: Nuevo

    EUR 75,90

    Envío por EUR 60,00 
    Se envía de Alemania a Estados Unidos de America

    Cantidad disponible: 1 disponible

    Taschenbuch. Condición: Neu. This item is printed on demand - Print on Demand Titel. Neuware -¿Financial Risk Management for Basel III and Solvency II: Novel Methods¿ is the Second Edition of the author¿s book 'Six Sigma Improvements for Basel III and Solvency II in Financial Risk Management' which is accepted by the Book Authority in '100 Best Financial Risk Management Books of All Time'. This book is practical and it is purposed for Financial Risk Management professionals, incl. managers, risk managers, risk analysts, academics and degree students teaching/studying Finance, Risk Management, Risk and Decision Analysis, and Operations Research. The methods applied in the book are Stochastic Models, Simulation, Optimisation, Six Sigma DMAIC, Neural Networks, Markov Chain Monte Carlo, Sensitivity Analysis and What-If Analysis. The book elaborates on Risk Management in Loans, Credits, Payments, Stock Market, Stock Prices, Liquidity, Interest Rates, Forex, and Insurance Claims. Bernstein stated, ¿the risk will always be there, so we must explore many interesting tools that can help us to control risks we cannot avoid taking¿ (Bernstein & Damodaran 1998). The methods presented in this book are one such tool.VDM Verlag, Dudweiler Landstraße 99, 66123 Saarbrücken 408 pp. Englisch.…