Managing and measuring risk
Managing and measuring risk emerging global standards and regulation after the financial crisis / [electronic resource] :
editors, Oliviero Roggi, Edward Altman.
- [Hackensack] N.J. : World Scientific, c2013.
- xiv, 499 p. : ill.
- World Scientific series in finance, v. 5 2010-1082 ; .
- World Scientific series in finance ; v. 5. .
Includes bibliographical references.
pt. A. The evolution of risk management -- pt. B. Sovereign and systemic risk -- pt. C. Liquidity -- pt. D. Risk management principles and strategies -- pt. E. Credit risk -- pt. F. Equity risk and market crashes.
Electronic reproduction.
Palo Alto, Calif. :
ebrary,
2013.
Available via World Wide Web.
Access may be limited to ebrary affiliated libraries.
Risk management.
Risk assessment.
Electronic books.
HD61 / .M36 2013eb
Includes bibliographical references.
pt. A. The evolution of risk management -- pt. B. Sovereign and systemic risk -- pt. C. Liquidity -- pt. D. Risk management principles and strategies -- pt. E. Credit risk -- pt. F. Equity risk and market crashes.
Electronic reproduction.
Palo Alto, Calif. :
ebrary,
2013.
Available via World Wide Web.
Access may be limited to ebrary affiliated libraries.
Risk management.
Risk assessment.
Electronic books.
HD61 / .M36 2013eb
