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Lecture CCNA Security - Chapter 9: Managing a Secure Network
This chapter include objectives: Describle the principles of secure network design, describle threat identificaion and risk analysis, describle risk managenment and risk avoidance, describle the Cisco SecureX architecture, describle operation security,...
82 p itc 23/04/2016 313 1
Từ khóa: CCNA Security, Lecture CCNA Security, Secure Network, Managing Secure Network, Risk analysis, Cisco SecureX Architecture
This book is designed for students and researchers who want to develop professional skill in modern quantitative applications in finance. The Center for Applied Statistics and Economics (CASE) course at Humboldt-Universität zu Berlin that forms the basis for this book is offered to interested students who have had some experience with probability, statistics and software applications but have not had advanced courses in mathematical finance....
423 p itc 15/01/2013 326 1
Từ khóa: finance, mathematical finance, financial engineering, quantitative finance, financial data analysis, risk management, quantitative financial data analysis, phân tích định lượng tài chính, dữ liệu tài chính
Salient Value Similarity, Social Trust, and Risk/Benefit Perception
Risk Analysis, Vol. 20, No. 3, 2000 Salient Value Similarity, Social Trust, and Risk/Benefit Perception Michael Siegrist,1* George Cvetkovich,1 and Claudia Roth2 It was postulated that shared values determine social trust in institutions and persons related to a technology: One has trust in people holding similar salient values. Furthermore, it was hypothesized that social trust has a positive influence on perceived benefits and a...
10 p itc 08/01/2013 334 1
Từ khóa: Social trust, risk perception, values, Risk Analysis, benefit perception, quản lý rủi ro
Investment Risk Management (The Wiley Finance Series)
Risk has two sides: underestimating it harms the investor, while overestimating it prevents the implementation of bold business projects. This book explains, from the point of view of the practitioner, the analysis of investment risk - a proper account of adequate risk management strategies - and offers an objective and readable account of the most common investment risk management procedures. It will not be highly mathematical, although...
223 p itc 08/01/2013 285 1
Từ khóa: investment risk management, Wiley Finance, analysis of investment risk, risk management strategies, phân tích quản lý rủi ro, chiến lược quản lý rủi ro
Interest Rate Risk Modeling : The Fixed Income Valuation Course
The definitive guide to fixed income valuation and risk analysis The Trilogy in Fixed Income Valuation and Risk Analysis comprehensively covers the most definitive work on interest rate risk, term structure analysis, and credit risk. The first book on interest rate risk modeling examines virtually every well-known IRR model used for pricing and risk analysis of various fixed income securities and their derivatives. The companion CD-ROM...
430 p itc 08/01/2013 302 2
Từ khóa: risk analysis, definitive guide to fixed income valuation, term structure analysis, credit risk, rủi ro tín dụng, tài chính tín dụng
The Trilogy in Fixed Income Valuation and Risk Analysis comprehensively covers the most definitive work on interest rate risk, term structure analysis, and credit risk. The first book on interest rate risk modeling examines virtually every well-known IRR model used for pricing and risk analysis of various fixed income securities and their derivatives. The companion CD-ROM contain numerous formulas and programming tools that allow readers to...
430 p itc 08/01/2013 308 1
Từ khóa: investing finance, Popular Economics, risk analysis, definitive guide to fixed income valuation, term structure analysis, credit risk, rủi ro tín dụng, tài chính tín dụng
Financial Market Risk: Measurement & Analysis
This new book uses advanced signal processing technology to measure and analyze risk phenomena of the financial markets. It explains how to scientifically measure, analyze and manage non-stationarity and long-term time dependence (long memory) of financial market returns. It studies, in particular, financial crises in persistent financial markets, such as stock, bond and real estate market, and turbulence in antipersistent financial markets,...
493 p itc 08/01/2013 351 1
Từ khóa: finance accounting, finance economics, accounting, financial market risk, rủi ro thị trường tài chính, financial market risk measurement and analysis
Catastrophic Risk: Analysis and Management
Catastrophic risk is one of the most significant and challenging areas of corporate risk management. Analyze this risk for your company with Catastrophic Risk and make sure you have sufficient resources to absorb losses and avoid financial distress. The first comprehensive volume to address this topic from a financial perspective, this book is a guide to the worst financial risks threatening companies and industries today. Author Eric Banks...
193 p itc 08/01/2013 312 1
Từ khóa: catastrophic risk, risk analysis, risk management, phân tích rủi ro, quản lý rủi ro, financial risks, corporate risk management
Springer Finance is a programme of books addressing students, academics and practitioners working on increasingly technical approaches to the analysis of financial markets. It aims to cover a variety of topics, not only mathematical finance but foreign exchanges, term structure, risk management, portfolio theory, equity derivatives and financial economics.
1030 p itc 07/01/2013 347 1
Từ khóa: Springer Finance, analysis of financial markets, phân tích thị trường tài chính, mathematical finance, foreign exchanges, term structure, risk management, portfolio theory, equity derivatives, financial economics.
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