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Risk management and analysis

MARC record
Tag12Value
LDR  00000nam a2200000 i 4500
001  MAP20070030861
003  MAP
005  20080417183725.0
008  990115s1998 gbr 000|0eng
020  ‎$a‎0-471-97959-7
040  ‎$a‎MAP‎$b‎spa
084  ‎$a‎7
24510‎$a‎Risk management and analysis‎$c‎edited by Carol Alexander
260  ‎$a‎Chichester [etc.]‎$b‎John Wiley & Sons‎$c‎cop. 1998
300  ‎$a‎2 v.‎$c‎25 cm
4901 ‎$a‎Wiley series in financial engineering
50500‎$a‎V. 1 : Measuring and modelling financial risk -- V. 2 : New markets and products
520  ‎$a‎Standard approaches to measuring and modelling financial risk -- Volatility and correlation -- Simulation for option princing and risk management -- IT and systems design -- Pricing and risk management of credit-risky products -- Emerging markets -- The origins of risk-neutral pricing and the Black-Scholes formula -- Equity derivatives -- Interest rate option models: a critical survey -- Exotic options -- Captions and swaptions -- Trading volatility -- Credit derivatives
65011‎$0‎MAPA20080591182‎$a‎Gerencia de riesgos
65011‎$0‎MAPA20080582418‎$a‎Riesgo financiero
65011‎$0‎MAPA20080588953‎$a‎Análisis de riesgos
65011‎$0‎MAPA20080597641‎$a‎Mercados financieros
65011‎$0‎MAPA20080591922‎$a‎Mercados emergentes
65011‎$0‎MAPA20080603182‎$a‎Productos financieros
7001 ‎$0‎MAPA20080153434‎$a‎Alexander, Carol
830 0‎$0‎MAPA20080528638‎$a‎Wiley series in financial engineering
856  ‎$y‎MÁS INFORMACIÓN‎$u‎mailto:centrodocumentacion@fundacionmapfre.org?subject=Consulta%20de%20una%20publicaci%C3%B3n%20&body=Necesito%20m%C3%A1s%20informaci%C3%B3n%20sobre%20este%20documento%3A%20%0A%0A%5Banote%20aqu%C3%AD%20el%20titulo%20completo%20del%20documento%20del%20que%20desea%20informaci%C3%B3n%20y%20nos%20pondremos%20en%20contacto%20con%20usted%5D%20%0A%0AGracias%20%0A