Asset & Risk Management

Asset & Risk Management pdf epub mobi txt 电子书 下载 2026

☆☆☆☆☆
出版者:Wiley
作者:Louis Esch
出品人:
页数:424
译者:
出版时间:2005-03-25
价格:USD 150.00
装帧:Hardcover
isbn号码:9780471491446
丛书系列:
图书标签:
  • 资产管理
  • 风险管理
  • 金融
  • 投资
  • 投资组合
  • 财务
  • 金融工程
  • 量化分析
  • 风险评估
  • 资产配置
想要找书就要到 图书目录大全
立刻按 ctrl+D收藏本页
你会得到大惊喜!!

具体描述

The aim of this book is to study three essential components of modern finance – Risk Management, Asset Management and Asset and Liability Management, as well as the links that bind them together. It is divided into five parts: Part I sets out the financial and regulatory contexts that explain the rapid development of these three areas during the last few years and shows the ways in which the Risk Management function has developed recently in financial institutions. Part II is dedicated to the underlying theories of Asset Management and deals in depth with evaluation of financial assets and with theories relating to equities, bonds and options. Part III deals with a central theory of Risk Management, the general theory of Value at Risk or VaR, its estimation techniques and the setting up of the methodology. Part IV is the point at which Asset Management and Risk Management meet. It deals with Portfolio Risk Management (the application of risk management methods to private asset management), with an adaptation of Sharpe’s simple index method and the EGP method to suit VaR and application of the APT method to investment funds in terms of behavioural analysis. Part V is the point at which Risk Management and Asset and Liability Management (ALM) meet, and touches on techniques for measuring structural risks within the on and off balance sheet. The book is aimed both at financial professionals and at students whose studies contain a financial aspect. "Esch, Kieffer and Lopez have provided us with a comprehensive and well written treatise on risk. This is a must read, must keep volume for all those who need or aspire to a professional understanding of risk and its management."

—Harry M Markowitz, San Diego, USA

《Asset & Risk Management》是一本旨在为读者提供全面理解资产管理与风险控制领域的重要参考的书籍。这本书通过系统化的内容结构,深入探讨了如何有效地识别、评估和应对各种潜在的财务和运营风险。在书中,作者详细解析了资产管理的核心概念,介绍了从初始评估到长期维护的全生命周期管理流程。读者将能够清晰地了解如何通过科学的方法来管理企业的关键资产,并在市场环境变化中保持稳健的财务表现。 书籍内容不仅涵盖了风险识别和量化分析,还详细讨论了多种风险控制工具和策略,例如情景分析、压力测试和敏感性分析等。读者将学习如何运用现代金融工具和模型来预测潜在的市场动荡,并制定相应的应对措施。这不仅有助于提升专业知识,还能为实际操作提供强有力的支持。通过这些细致入微的内容,读者能够建立起对资产管理复杂性的深刻理解,同时掌握实用的操作技能。 书中还引入了大量案例研究和实际应用场景,使理论与实践紧密结合。这些案例涵盖了不同行业、不同规模企业的具体情境,帮助读者更直观地感受风险管理在真实世界中的运作方式。此外,书中对最新趋势的分析,如数字化转型和全球化对资产风险的影响,也为读者提供了前瞻性视角,使他们能够更好地适应不断变化的市场环境。 《Asset & Risk Management》不仅适合有金融背景的专业人士,还欢迎那些希望提升自身管理能力的人士。通过这本书,读者将获得一种全新的思维方式,学习如何在复杂多变的经济环境中进行有效的资产规划与风险控制。作者精心设计了每一章节,使内容富有逻辑性和深度,确保每一个读者都能从中获取宝贵的知识和实用技巧。这本书不仅是一份理论知识的汇编,更是一种系统化的学习工具,能够帮助读者在实际工作中不断提升自己的专业素养。 书的整体结构经过精心安排,从基础概念到高级技术,层层深入,让读者循序渐进地掌握知识。在每一章节的内容中,作者都注重数据分析、实例解析和策略制定,通过具体示例和逻辑推理,使书籍内容更具可读性和吸引力。同时,书中的图表和图示帮助读者直观理解复杂概念,从而增强学习效果。 总的来说,这本书通过深入浅出的内容设计,不仅丰富了读者的理论基础,还提升了他们在实际工作中应用知识的能力。无论是初学者还是有一定背景的专业人士,这本书都能为其提供宝贵的指导,帮助其更好地应对资产管理与风险控制的挑战。通过细致入微的解释和丰富的案例研究,该书无疑是一本值得推荐的重要读物。

作者简介

目录信息

读后感

评分☆☆☆☆☆

评分☆☆☆☆☆

评分☆☆☆☆☆

评分☆☆☆☆☆

评分☆☆☆☆☆

用户评价

评分☆☆☆☆☆

评分☆☆☆☆☆

评分☆☆☆☆☆

评分☆☆☆☆☆

评分☆☆☆☆☆

本站所有内容均为互联网搜索引擎提供的公开搜索信息,本站不存储任何数据与内容,任何内容与数据均与本站无关,如有需要请联系相关搜索引擎包括但不限于百度,google,bing,sogou 等

© 2026 book.wenda123.org All Rights Reserved. 图书目录大全 版权所有