LEADER 03299nam 2200781 a 450 001 9910138853503321 005 20230803020325.0 010 $a1-118-59721-4 010 $a1-118-27857-7 010 $a1-299-18976-8 035 $a(CKB)2550000001005942 035 $a(EBL)947697 035 $a(OCoLC)828303619 035 $a(SSID)ssj0000905986 035 $a(PQKBManifestationID)11536111 035 $a(PQKBTitleCode)TC0000905986 035 $a(PQKBWorkID)10930089 035 $a(PQKB)10582777 035 $a(MiAaPQ)EBC947697 035 $a(WaSeSS)IndRDA00115410 035 $a(Au-PeEL)EBL947697 035 $a(CaPaEBR)ebr10658408 035 $a(CaONFJC)MIL450226 035 $a(EXLCZ)992550000001005942 100 $a20130301d2013 uy 0 101 0 $aeng 135 $aurunu||||| 181 $ctxt 182 $cc 183 $acr 200 10$aAdvanced financial risk management$b[electronic resource] $etools and techniques for integrated credit risk and interest rate risk management /$fDonald R. van Deventer, Kenji Imai, Mark Mesler 205 $a2nd ed. 210 $aSingapore $cWiley$d2013 215 $a1 online resource (876 p.) 225 0$aWiley finance series 300 $aDescription based upon print version of record. 311 $a1-118-27855-0 311 $a1-118-27854-2 320 $aIncludes bibliographical references and index. 327 $apt. 1. Risk management : definitions and objectives -- pt. 2. Risk management techniques for interest rate analytics -- pt. 3. Risk management techniques for credit risk analytics -- pt. 4. Risk management applications : instrument by instrument -- pt. 5. Portfolio strategy and risk management. 330 $aPractical tools and advice for managing financial risk, updated for a post-crisis world Advanced Financial Risk Management bridges the gap between the idealized assumptions used for risk valuation and the realities that must be reflected in management actions. It explains, in detailed yet easy-to-understand terms, the analytics of these issues from A to Z, and lays out a comprehensive strategy for risk management measurement, objectives, and hedging techniques that apply to all types of institutions. Written by experienced risk managers, the book covers everything from the 410 0$aWiley finance series. 606 $aGestió del risc$2thub 606 $aRisc de crèdit$2thub 606 $aGestió d'actius i passius$2thub 606 $aAsset-liability management 606 $aCredit$xManagement 606 $aInterest rate risk$xManagement 606 $aFinancial risk management 608 $aLlibres electrònics$2thub 615 7$aGestió del risc 615 7$aRisc de crèdit 615 7$aGestió d'actius i passius 615 0$aAsset-liability management. 615 0$aCredit$xManagement. 615 0$aInterest rate risk$xManagement. 615 0$aFinancial risk management. 676 $a332.7 700 $aDeventer$b Donald R. van$0920223 701 $aImai$b Kenji$0920224 701 $aMesler$b Mark$0920225 801 0$bMiAaPQ 801 1$bMiAaPQ 801 2$bMiAaPQ 906 $aBOOK 912 $a9910138853503321 996 $aAdvanced financial risk management$92064110 997 $aUNINA LEADER 01617nam 2200517 450 001 9910796099203321 005 20200520144314.0 010 $a1-118-82791-0 010 $a1-118-65336-X 035 $a(CKB)24989756700041 035 $a(NjHacI)9924989756700041 035 $a(JP-MeL)3000110212 035 $a(Au-PeEL)EBL7104114 035 $a(OCoLC)1347023354 035 $a(MiAaPQ)EBC1656380 035 $a(EXLCZ)9924989756700041 100 $a20140413h20142014 uy 0 101 0 $aeng 135 $aur||||||||||| 181 $ctxt$2rdacontent 182 $cc$2rdamedia 183 $acr$2rdacarrier 200 00$aClinical supervision activities for increasing competence and self-awareness /$fedited by Roy A. Bean, Sean D. Davis, Maureen P. Davey 210 1$aHoboken, New Jersey :$cWiley,$d2014. 210 4$d2014 215 $a1 online resource (xv, 336 pages) $cillustrations 300 $aIncludes bibliographical references and indexes 320 $aIncludes bibliographical references at the end of each chapters and indexes. 606 $aEmpathy 606 $aPsychotherapy 615 0$aEmpathy. 615 0$aPsychotherapy. 676 $a616.89/14 686 $a146.8$2njb/09 686 $a493.72$2njb/09 686 $a616.89/14$2njb/09 702 $aBean$b Roy A. 702 $aDavey$b Maureen P. 702 $aDavis$b Sean D. 801 0$bMiAaPQ 801 1$bMiAaPQ 801 2$bMiAaPQ 906 $aBOOK 912 $a9910796099203321 996 $aClinical supervision activities for increasing competence and self-awareness$93834665 997 $aUNINA