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Understanding Market, Credit, and Operational Risk: The Value at Risk Approach
by Linda Allen, Jacob Boudoukh, Anthony Saunders
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Editorial Reviews
Product Description
A step-by-step, real world guide to the use of Value at Risk (VaR) models, this text applies the VaR approach to the measurement of market risk, credit risk and operational risk. The book describes and critiques proprietary models, illustrating them with practical examples drawn from actual case studies. Explaining the logic behind the economics and statistics, this technically sophisticated yet intuitive text should be an essential resource for all readers operating in a world of risk.
* Applies the Value at Risk approach to market, credit, and operational risk measurement.
* Illustrates models with real-world case studies.
* Features coverage of BIS bank capital requirements.
Customers who bought this item also bought
The Standard & Poor's Guide to Measuring and Managing Credit Risk
Value at Risk, 3rd Ed.
Fixed Income Securities: Tools for Today's Markets, Second Edition, University Edition
Financial Risk Manager Handbook (Wiley Finance)
Risk Management and Derivatives
Price is accurate as of the date/time indicated. Prices and product availability are subject to change. Any price displayed on the Amazon website at the time of purchase will govern the sale of this product.
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Related Products
The Standard & Poor's Guide to Measuring and Managing Credit Risk
Value at Risk, 3rd Ed.
Fixed Income Securities: Tools for Today's Markets, Second Edition, University Edition
Financial Risk Manager Handbook (Wiley Finance)
Risk Management and Derivatives
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