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Risk Management Systems: Process, Technology and Trends: Finance and Capital Markets Series

Autor M. Gorrod
en Limba Engleză Hardback – 9 dec 2003
Gorrod examines the many challenges for the next generation risk management system. Dramatic changes in market conditions, budgetary constraints, the evolving nature of risk within the financial organization, as well as the requirements of increasing regulation in the global market place have resulted in a totally different environment for risk systems. These applications must be functionally richer, have greater performance, provide seamless and improved integration, as well as being quick to deploy and cheaper to deliver and support. Recent advances in technology have provided a number of tools to help the risk technologist. This book summarizes these new trends and also arms the reader with the knowledge, tools and approaches required to survive in this new environment. Covering the requirements of the trader and risk manager, to how to decide whether and how to out-source or develop in-house, this book acts as the handbook for risk technologists to survive these challenges.
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Specificații

ISBN-13: 9781403916174
ISBN-10: 1403916179
Pagini: 272
Ilustrații: XIV, 301 p. 102 illus.
Dimensiuni: 140 x 216 x 19 mm
Greutate: 0.6 kg
Ediția:2004
Editura: Palgrave Macmillan UK
Colecția Palgrave Macmillan
Seria Finance and Capital Markets Series

Locul publicării:London, United Kingdom

Cuprins

Introduction The Risk Management Challenge Functional Requirements for a Risk Management Solution Delivering a Risk Management Solution Analysis and Requirements Gathering Design Issues Development and Implementation Testing and QA Deployment, Configuration and Change Management Delivery and Project Management Future Trends

Notă biografică

MARTIN GORROD is a Senior Business Consultant. He has held major banking positions including head of Quantitative Projects in Product Control at CSFB and head of Corporate Risk Management Technology at bankers Trust. He has also been responsible for developing risk management, fixed income and interest rate derivative trading and sales systems and pricing models for FX and interest rate products at Goldman Sachs and Merrill Lynch. He has an MBA from OUBS and studied Maths and Computation at Oxford. He also has a PhD in Astrophysics.