Risk Management and Financial Institutions, 6/e (Hardcover)

Hull, John C.

  • 出版商: Wiley
  • 出版日期: 2023-02-14
  • 售價: $1,980
  • 貴賓價: 9.8$1,940
  • 語言: 英文
  • 頁數: 832
  • 裝訂: Hardcover - also called cloth, retail trade, or trade
  • ISBN: 1119932483
  • ISBN-13: 9781119932482
  • 下單後立即進貨 (約5~7天)

商品描述

RISK MANAGEMENT AND FINANCIAL INSTITUTIONS

THE GOLD STANDARD IN FINANCIAL RISK MANAGEMENT TEXTBOOKS

In the newly revised sixth edition of Risk Management and Financial Institutions, celebrated risk and derivatives expert John C. Hull delivers an incisive and comprehensive discussion of financial risk and financial institution regulation. In the book, you'll learn to understand the financial markets, the risks they pose to various kinds of financial institutions, and how those risks are affected by common regulatory structures.

This book blends discussion of best practices in risk management with holistic treatments of how financial institutions are regulated. It explores market, credit, liquidity, model, climate, cyber, and operational risk.

This latest edition also offers:

  • Updated ancillary and digital materials covering all the latest content, including software, practice questions, and teaching supplements
  • Access to an updated website that reflects the new content
  • Fulsome coverage of the most important financial market developments since the publication of the fifth edition, including regulatory changes, the growing importance of climate risk, the use of machine learning models, and the disappearance of LIBOR

A must-have resource for undergraduate and graduate students of business and finance, Risk Management and Financial Institutions, Sixth Edition, cements this celebrated text as the gold standard in risk management resources.

商品描述(中文翻譯)

風險管理與金融機構

金融風險管理教科書的黃金標準

在重新修訂的第六版《風險管理與金融機構》中,著名的風險和衍生品專家約翰·C·赫爾提供了對金融風險和金融機構監管的深入全面的討論。在這本書中,您將學習了解金融市場,它們對各種金融機構的風險以及這些風險如何受常見監管結構的影響。

本書將風險管理的最佳實踐與金融機構監管的整體處理相結合。它探討了市場風險、信用風險、流動性風險、模型風險、氣候風險、網絡安全風險和運營風險。

本最新版還提供:

  • 更新的附屬和數字資料,包括軟體、練習問題和教學補充材料
  • 訪問反映新內容的更新網站
  • 自第五版出版以來最重要的金融市場發展的全面報導,包括監管變化、氣候風險的日益重要性、機器學習模型的使用以及LIBOR的消失

《風險管理與金融機構》第六版是商業和金融本科和研究生學生必備的資源,鞏固了這本著名教材作為風險管理資源的黃金標準。

作者簡介

JOHN C. HULL is the Maple Financial Professor of Derivatives and Risk Management at the Joseph L. Rotman School of Management, University of Toronto. He is academic director of Rotman's Financial Innovation Lab (FinHub), senior advisor to the Global Association of Risk Professionals (GARP), and a senior research fellow at the Global Risk Institute in Financial Services. He has been a consultant to many North American, Japanese, and European financial institutions.

作者簡介(中文翻譯)

JOHN C. HULL 是多倫多大學約瑟夫·L·羅特曼管理學院的楓葉金融衍生品與風險管理教授。他是羅特曼金融創新實驗室(FinHub)的學術主任,全球風險專業協會(GARP)的高級顧問,以及全球金融服務風險研究所的高級研究員。他曾擔任許多北美、日本和歐洲金融機構的顧問。