Risk Management: Foundations For A Changing Financial World《风险管理》 mobi 下载 网盘 caj lrf pdf txt 阿里云

Risk Management: Foundations For A Changing Financial World《风险管理》电子书下载地址
- 文件名
- [epub 下载] Risk Management: Foundations For A Changing Financial World《风险管理》 epub格式电子书
- [azw3 下载] Risk Management: Foundations For A Changing Financial World《风险管理》 azw3格式电子书
- [pdf 下载] Risk Management: Foundations For A Changing Financial World《风险管理》 pdf格式电子书
- [txt 下载] Risk Management: Foundations For A Changing Financial World《风险管理》 txt格式电子书
- [mobi 下载] Risk Management: Foundations For A Changing Financial World《风险管理》 mobi格式电子书
- [word 下载] Risk Management: Foundations For A Changing Financial World《风险管理》 word格式电子书
- [kindle 下载] Risk Management: Foundations For A Changing Financial World《风险管理》 kindle格式电子书
内容简介:
Key readings in risk management from CFA Institute, the
preeminent organization representing financial analysts
Risk management may have been the single most important topic in
finance over the past two decades. To appreciate its complexity,
one must understand the art as well as the science behind it. Risk
Management: Foundations for a Changing Financial World provides
investment professionals with a solid framework for understanding
the theory, philosophy, and development of the practice of risk
management by
Outlining the evolution of risk management and how the discipline
has adapted to address the future of managing risk
Covering the full range of risk management issues, including firm,
portfolio, and credit risk management
Examining the various aspects of measuring risk and the practical
aspects of managing risk
Including key writings from leading risk management practitioners
and academics, such as Andrew Lo, Robert Merton, John Bogle, and
Richard Bookstaber
For financial analysts, money managers, and others in the finance
industry, this book offers an in-depth understanding of the
critical topics and issues in risk management that are most
important to today’s investment professionals.
书籍目录:
Foreword.
Acknowledgments.
Introduction.
PART I: OVERVIEW—TWO DECADES OF RISK MANAGEMENT.1990–1999.
CHAPTER 1: A Framework for Understanding Market Crisis (Richard M.
Bookstaber)
Reprinted from AIMR Conference Proceedings: Risk Management:
Principles and Practices (August 1999):7–19.
CHAPTER 2: Practical Issues in Choosing and Applying Risk
Management Tools (Jacques Longerstaey)
Reprinted from AIMR Conference Proceedings: Risk Management:
Principles and Practices (August 1999):52–61.
CHAPTER 3: The Three P's of Total Risk Management (Andrew W.
Lo)
Reprinted from the Financial Analysts Journal (January/February
1999):13–26.
CHAPTER 4: Reporting and Monitoring Risk Exposure (Robert W.
Kopprasch, CFA)
Reprinted from AIMR Conference Proceedings: Risk Management
(April 1996): 25–33.2000–Present.
CHAPTER 5: Risk Management: A Review (Sébastien Lleo, CFA)
Modifi ed from The Research Foundation of CFA Institute (February
2009).
CHAPTER 6: Defining Risk (Glyn A. Holton)
Reprinted from the Financial Analysts Journal (November/December
2004): 19–25.
CHAPTER 7: Value and Risk: Beyond Betas (Aswath Damodaran)
Reprinted from the Financial Analysts Journal (March/April
2005):38–43.
CHAPTER 8: A Simple Theory of the Financial Crisis; or, Why
Fischer Black Still Matters (Tyler Cowen)
Reprinted from the Financial Analysts Journal (May/June
2009):17–20.
CHAPTER 9: Managing Firm Risk (Bluford H. Putnam)
Reprinted from AIMR Conference Proceedings: Ethical Issues for
Today’s Firm (July 2000):51–61.
CHAPTER 10: Risk Measurement versus Risk Management (D. Sykes
Wilford)
Reprinted from AIMR Conference Proceedings: Improving the
Investment Process through Risk Management (November
2003):17–21.
PART II: MEASURING RISK.
CHAPTER 11: What Volatility Tells Us about Diversifi cation and
Risk Management (Max Darnell)
Reprinted from CFA Institute Conference Proceedings Quarterly
(September 2009):57–66.
CHAPTER 12: Risk2: Measuring the Risk in Value at Risk (Philippe
Jorion)
Reprinted from the Financial Analysts Journal (November/December
1996): 47–56.
CHAPTER 13: How Risk Management Can Benefi t Portfolio Managers
(Michelle McCarthy)
Reprinted from AIMR Conference Proceedings: Risk Management:
Principles and Practices (August 1999):62–72.
CHAPTER 14: Merging the Risk Management Objectives of the Client
and Investment Manager (Bennett W. Golub)
Reprinted from AIMR Conference Proceedings: Exploring the
Dimensions of Fixed-Income Management (March 2004):13–23.
CHAPTER 15: The Mismeasurement of Risk (Mark Kritzman, CFA, and
Don Rich)
Reprinted from the Financial Analysts Journal (May/June
2002):91–99.
CHAPTER 16: Riskiness in Risk Measurement (Roland Lochoff)
Reprinted from AIMR Conference Proceedings: Exploring the
Dimensions of Fixed-Income Management (March 2004):40–51.
CHAPTER 17: The Second Moment (Don Ezra)
Reprinted from the Financial Analysts Journal (January/February
2009): 34–36.
CHAPTER 18: The Sense and Nonsense of Risk Budgeting (Arjan B.
Berkelaar, CFA, Adam Kobor, CFA, and Masaki Tsumagari, CFA)
Reprinted from the Financial Analysts Journal (September/October
2006): 63–75.
CHAPTER 19: Understanding and Monitoring the Liquidity Crisis
Cycle (Richard Bookstaber)
Reprinted from the Financial Analysts Journal (September/October
2000):17–22.
CHAPTER 20: Why Company-Specifi c Risk Changes over Time (James A.
Bennett, CFA, and Richard W. Sias)
Reprinted from the Financial Analysts Journal (September/October
2006): 89–100.
CHAPTER 21: Black Monday and Black Swans (John C. Bogle)
Reprinted from the Financial Analysts Journal (March/April
2008):30–40.
CHAPTER 22: The Uncorrelated Return Myth (Richard M. Ennis,
CFA)
Reprinted from the Financial Analysts Journal (November/December
2009):6–7.
PART III: MANAGING RISK.
Alternative Investments.
CHAPTER 23: Risk Management for Hedge Funds: Introduction and
Overview (Andrew W. Lo)
Reprinted from the Financial Analysts Journal (November/December
2001): 16–33.
CHAPTER 24: Risk Management for Alternative Investment Strategies
(Leslie Rahl)
Reprinted from AIMR Conference Proceedings: Exploring the
Dimensions of Fixed-Income Management (March 2004):52–62.
CHAPTER 25: Sources of Change and Risk for Hedge Funds (Clifford
S. Asness)
Reprinted from CFA Institute Conference Proceedings: Challenges
and Innovation in Hedge Fund Management (August 2004):4–9,
13–14.
CHAPTER 26: Risk Management in a Fund of Funds (S. Luke
Ellis)
Reprinted from CFA Institute Conference Proceedings: Challenges
and Innovation in Hedge Fund Management (August 2004):31–39.
CHAPTER 27: Hedge Funds: Risk and Return (Burton G. Malkiel and
Atanu Saha)
Reprinted from the Financial Analysts Journal (November/December
2005): 80–88.
Credit Risk.
CHAPTER 28: Credit Risk (Jeremy Graveline and Michael
Kokalari)
Modifi ed from The Research Foundation of CFA Institute (November
2006).
CHAPTER 29: Tumbling Tower of Babel: Subprime Securitization and
the Credit Crisis (Bruce I. Jacobs)
Reprinted from the Financial Analysts Journal (March/April
2009):17–30.
CHAPTER 30: Applying Modern Risk Management to Equity and Credit
Analysis (Robert C. Merton)
Reprinted from CFA Institute Conference Proceedings Quarterly
(December 2007):14–22.
Derivatives.
CHAPTER 31: The Uses and Risks of Derivatives (Joanne M.
Hill)
Reprinted from AIMR Conference Proceedings: Investing Worldwide
VI (January 1996):46–58.
CHAPTER 32: Effective Risk Management in the Investment Firm (Mark
C. Brickell)
Reprinted from AIMR Conference Proceedings: Risk Management
(April 1996):48–55.
CHAPTER 33: Risk-Management Programs (Maarten Nederlof)
Reprinted from AIMR Conference Proceedings: Risk Management
(April 1996):15–24.
CHAPTER 34: Does Risk Management Add Value? (Charles W.
Smithson)
Reprinted from AIMR Conference Proceedings: Corporate Financial
Decision Making and Equity Analysis (July 1995):47–53.
CHAPTER 35: Risk Management and Fiduciary Duties (Robert M.
McLaughlin)
Reprinted from AIMR Conference Proceedings: Risk Management:
Principles and Practices (August 1999):20–31.
Global Risk.
CHAPTER 36: Financial Risk Management in Global Portfolios (R.
Charles Tschampion, CFA)
Reprinted from AIMR Conference Proceedings: Investing Worldwide
VI (January 1996):67–73.
CHAPTER 37: Universal Hedging: Optimizing Currency Risk and Reward
in International Equity Portfolios (Fischer Black)
Reprinted from the Financial Analysts Journal (July/August
1989):16–22.
CHAPTER 38: Strategies for Hedging (Mark P. Kritzman, CFA)
Reprinted from AIMR Conference Proceedings: Managing Currency
Risk (November 1997):28–38.
CHAPTER 39: Currency Risk Management in Emerging Markets (H.
Gifford Fong)
Reprinted from AIMR Conference Proceedings: Investing Worldwide
VII (September 1996):18–23.
CHAPTER 40: Managing Geopolitical Risks (Marvin Zonis)
Reprinted from CFA Institute Conference Proceedings Quarterly
(September 2009):22–29.
CHAPTER 41: Country Risk in Global Financial Management (Claude B.
Erb, CFA, Campbell R. Harvey, and Tadas E. Viskanta)
Reprinted from The Research Foundation of CFA Institute (January
1998).
CHAPTER 42: Political Risk in the World Economies (Marvin
Zonis)
Reprinted from AIMR Conference Proceedings: Investing Worldwide
VIII: Developments in Global Portfolio Management (September
1997):1–6.
Nonfi nancial Risk.
CHAPTER 43: A Behavioral Perspective on Risk Management (Andrew W.
Lo)
Reprinted from AIMR Conference Proceedings: Risk Management:
Principles and Practices (August 1999):32–37.
CHAPTER 44: Behavioral Risk: Anecdotes and Disturbing Evidence
(Arnold S. Wood)
Reprinted from AIMR Conference Proceedings: Investing Worldwide
VI (January 1996):74–78.
CHAPTER 45: The Ten Commandments of Operational Due Diligence
(Robert P. Swan III)
Reprinted from CFA Institute Conference Proceedings: Challenges
and Innovation in Hedge Fund Management (August 2004):47–52.
CHAPTER 46: Models (Emanuel Derman)
Reprinted from the Financial Analysts Journal (January/February
2009):28–33.
CHAPTER 47: The Use and Misuse of Models in Investment Management
(Douglas T. Breeden)
Reprinted from CFA Institute Conference Proceedings Quarterly
(December 2009): 36–45.
CHAPTER 48: Regulating Financial Markets: Protecting Us from
Ourselves and Others (Meir Statman)
Reprinted from the Financial Analysts Journal (May/June
2009):22–31.
Pension Risk.
CHAPTER 49: Budgeting and Monitoring Pension Fund Risk (William F.
Sharpe)
Reprinted from the Financial Analysts Journal (September/October
2002):74–86.
CHAPTER 50: The Plan Sponsor's Perspective on Risk Management
Programs (Desmond M...
作者介绍:
Walter V. "Bud" Haslett Jr., CFA, is Head, Risk Management,
Derivatives, and Alternative Investments for CFA Institute. Mr.
Haslett has served CFA Institute as an exam grader and member of
the Council of Examiners as well as an ad hoc reviewer for the
Financial Analysts Journal and abstractor for the CFA Digest. He is
past president of the CFA Society of Philadelphia and former board
member of the New York Society of Security Analysts. He holds a
Master of Liberal Arts from the University of Pennsylvania and an
MBA from Drexel University. Prior to joining CFA Institute, Mr.
Haslett was head of option analytics for Miller Tabak & Co.,
LLC, and spent much of his career managing risk on the option
trading floors at the Philadelphia Stock Exchange.
出版社信息:
暂无出版社相关信息,正在全力查找中!
书籍摘录:
暂无相关书籍摘录,正在全力查找中!
在线阅读/听书/购买/PDF下载地址:
原文赏析:
暂无原文赏析,正在全力查找中!
其它内容:
书籍介绍
Key readings in risk management from CFA Institute, the preeminent organization representing financial analysts Risk management may have been the single most important topic in finance over the past two decades. To appreciate its complexity, one must understand the art as well as the science behind it. Risk Management: Foundations for a Changing Financial World provides investment professionals with a solid framework for understanding the theory, philosophy, and development of the practice of risk management by Outlining the evolution of risk management and how the discipline has adapted to address the future of managing risk Covering the full range of risk management issues, including firm, portfolio, and credit risk management Examining the various aspects of measuring risk and the practical aspects of managing risk Including key writings from leading risk management practitioners and academics, such as Andrew Lo, Robert Merton, John Bogle, and Richard Bookstaber For financial analysts, money managers, and others in the finance industry, this book offers an in-depth understanding of the critical topics and issues in risk management that are most important to today’s investment professionals.
网站评分
书籍多样性:6分
书籍信息完全性:8分
网站更新速度:5分
使用便利性:4分
书籍清晰度:6分
书籍格式兼容性:9分
是否包含广告:9分
加载速度:5分
安全性:4分
稳定性:8分
搜索功能:5分
下载便捷性:4分
下载点评
- 书籍完整(609+)
- 速度慢(285+)
- 强烈推荐(377+)
- 微信读书(68+)
- 中评多(270+)
- 情节曲折(113+)
- 博大精深(530+)
- 在线转格式(649+)
- 二星好评(415+)
下载评价
- 网友 隗***杉:
挺好的,还好看!支持!快下载吧!
- 网友 权***波:
收费就是好,还可以多种搜索,实在不行直接留言,24小时没发到你邮箱自动退款的!
- 网友 索***宸:
书的质量很好。资源多
- 网友 饶***丽:
下载方式特简单,一直点就好了。
- 网友 国***舒:
中评,付点钱这里能找到就找到了,找不到别的地方也不一定能找到
- 网友 瞿***香:
非常好就是加载有点儿慢。
- 网友 相***儿:
你要的这里都能找到哦!!!
- 网友 宓***莉:
不仅速度快,而且内容无盗版痕迹。
- 网友 訾***晴:
挺好的,书籍丰富
- 网友 养***秋:
我是新来的考古学家
- 网友 林***艳:
很好,能找到很多平常找不到的书。
- 网友 邱***洋:
不错,支持的格式很多
- 网友 常***翠:
哈哈哈哈哈哈
- 网友 菱***兰:
特好。有好多书
- 网友 曾***文:
五星好评哦
喜欢"Risk Management: Foundations For A Changing Financial World《风险管理》"的人也看了
数据、模型与决策 mobi 下载 网盘 caj lrf pdf txt 阿里云
英语笔译实务 mobi 下载 网盘 caj lrf pdf txt 阿里云
预售【外图台版】与天使摔跤:寻找爱迪生,重新定义自己 / 邱一新 时报文化 mobi 下载 网盘 caj lrf pdf txt 阿里云
毛诗会笺(全四册) mobi 下载 网盘 caj lrf pdf txt 阿里云
新课程歌唱教学法/新课程音乐教育丛书 mobi 下载 网盘 caj lrf pdf txt 阿里云
长江大学“全国见义勇为舍己救人大学生英雄集体”先进事迹报告 mobi 下载 网盘 caj lrf pdf txt 阿里云
Pablo Picasso mobi 下载 网盘 caj lrf pdf txt 阿里云
莎士比亚简史(《万物简史》作者力作!无障碍莎士比亚入门指南。体会莎翁400年经久不衰的天才魅力!) mobi 下载 网盘 caj lrf pdf txt 阿里云
时髦串珠DIY--EASY巧手2 杨棋茵 著 中国纺织出版社【正版保证】 mobi 下载 网盘 caj lrf pdf txt 阿里云
数据库原理与应用 mobi 下载 网盘 caj lrf pdf txt 阿里云
- 9787115343031 mobi 下载 网盘 caj lrf pdf txt 阿里云
- 凝聚态磁性物理 mobi 下载 网盘 caj lrf pdf txt 阿里云
- 徐志摩经典 mobi 下载 网盘 caj lrf pdf txt 阿里云
- 防雷工程检测验收及雷电灾害风险评估 mobi 下载 网盘 caj lrf pdf txt 阿里云
- 9787510067990 mobi 下载 网盘 caj lrf pdf txt 阿里云
- 金属材料金相图谱(上下) mobi 下载 网盘 caj lrf pdf txt 阿里云
- 紫砂壶 mobi 下载 网盘 caj lrf pdf txt 阿里云
- 9787214098702 mobi 下载 网盘 caj lrf pdf txt 阿里云
- 马上天下 mobi 下载 网盘 caj lrf pdf txt 阿里云
- 土地管理法律工具箱:法律政策·流程图表·案例要旨·文书应用(2015版) mobi 下载 网盘 caj lrf pdf txt 阿里云
书籍真实打分
故事情节:9分
人物塑造:8分
主题深度:3分
文字风格:7分
语言运用:9分
文笔流畅:8分
思想传递:9分
知识深度:4分
知识广度:7分
实用性:6分
章节划分:6分
结构布局:4分
新颖与独特:9分
情感共鸣:3分
引人入胜:8分
现实相关:5分
沉浸感:9分
事实准确性:7分
文化贡献:6分