Pricing, Risk, and Performance Measurement in Practice 在線電子書 pdf 下載 txt下載 epub 下載 mobi 下載 2024


Pricing, Risk, and Performance Measurement in Practice

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Schwerdt, Wolfgang/ Wendland, Marcelle von 作者
譯者
2009-10 出版日期
300 頁數
726.00元 價格
叢書系列
9780123745217 圖書編碼

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發表於2024-11-27

Pricing, Risk, and Performance Measurement in Practice 在線電子書 epub 下載 mobi 下載 pdf 下載 txt 下載 2024

Pricing, Risk, and Performance Measurement in Practice 在線電子書 epub 下載 pdf 下載 mobi 下載 txt 下載 2024

Pricing, Risk, and Performance Measurement in Practice 在線電子書 pdf 下載 txt下載 epub 下載 mobi 下載 2024



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Pricing, Risk, and Performance Measurement in Practice 在線電子書 pdf 下載 txt下載 epub 下載 mobi 在線電子書下載

Pricing, Risk, and Performance Measurement in Practice 在線電子書 圖書描述

How can managers increase their ability to calculate price and risk data for financial instruments while decreasing their dependence on a myriad of specific instrument variants? Wolfgang Schwerdt and Marcelle von Wendland created a simple and consistent way to handle and process large amounts of complex financial data. By means of a practical framework, their approach analyzes market and credit risk exposure of financial instruments and portfolios and calculates risk adjusted performance measures. Its emphasis on standardization yields significant improvements in speed and accuracy. Schwerdt and von Wendland's focus on practical implementation directly addresses limitations imposed by the complex and costly processing time required for advanced risk management models and pricing hundreds of thousands of securities each day. Their many examples and programming codes demonstrate how to use standards to build financial instruments, how to price them, and how to measure the risk and performance of the portfolios that include them.

Feature: The authors have designed and implemented a standard for the description of financial instruments

Benefit: The reader can rely on accurate and valid information about describing financial instruments

Feature: The authors have developed an approach for pricing and analyzing any financial instrument using a limited set of atomic instruments

Benefit: The reader can use these instruments to define and set up even very large numbers of financial instruments.

Feature: The book builds a practical framework for analysing the market and credit risk exposure of financial instruments and portfolios

Benefit: Readers can use this framework today in their work and identify and measure market and credit risk using a reliable method.

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