Managing and measuring risk : emerging global standards and regulation after the financial crisis / editors, Oliviero Roggi, Edward Altman.
Material type:![Text](/opac-tmpl/lib/famfamfam/BK.png)
- text
- computer
- online resource
- 9789814417501
- 9814417505
- 658.155 23
- HD61
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OPJGU Sonepat- Campus | E-Books EBSCO | Available |
Title from PDF title page (viewed on Apr. 23, 2013).
Includes bibliographical references.
Part A. The evolution of risk management -- part B. Sovereign and systemic risk -- part C. Liquidity -- part D. Risk management principles and strategies -- part E. Credit risk -- part F. Equity risk and market crashes.
This volume presents the most recent achievements in risk measurement and management, as well as regulation of the financial industry, with contributions from prominent scholars and practitioners, and provides a comprehensive overview of recent emerging standards in risk management from an interdisciplinary perspective.
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