Financial Risk Management – Models History and Institutions: Wiley Finance
Autor AM Malzen Limba Engleză Hardback – 2 noi 2011
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Specificații
ISBN-13: 9780470481806
ISBN-10: 0470481803
Pagini: 752
Dimensiuni: 152 x 229 x 41 mm
Greutate: 1.11 kg
Editura: Wiley
Seria Wiley Finance
Locul publicării:Hoboken, United States
ISBN-10: 0470481803
Pagini: 752
Dimensiuni: 152 x 229 x 41 mm
Greutate: 1.11 kg
Editura: Wiley
Seria Wiley Finance
Locul publicării:Hoboken, United States
Public țintă
Risk professionals, Chief Risk Officers, professors and students involved within advanced financial engineering and sophisticated MBA programs.Cuprins
Notă biografică
ALLAN M. MALZ is a Senior Analytical Advisor in the Markets Group at the Federal Reserve Bank of New York, where he has also worked on implementation of the Fed's emergency liquidity programs to address the financial crisis. Before rejoining the Fed, he was chief risk officer at several multi-strategy hedge fund management firms. Previously, Malz was head of research at RiskMetrics Group, which he joined on its spinoff from J.P. Morgan. Malz spent his earlier career at the New York Fed as a researcher and foreign exchange trader. His research, which includes forecasting financial crises, risk measurement for options, and estimation of risk-neutral probability distributions, has been published in a number of industry and academic journals. Malz holds a PhD in economics from Columbia University, where he also teaches a graduate course in financial risk management.
Descriere
Financial risk has become a focus of financial and nonfinancial firms, individuals, and policy makers. But the study of risk remains a relatively new discipline in finance and continues to be refined. The financial market crisis that began in 2007 has highlighted the challenges of managing financial risk.