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Handbook of Financial Data and Risk Information 2 Volume Hardback Set

Brose, Margarita S.(Edited by)Flood, Mark D.(Edited by)Krishna, Dilip(Edited by)Nichols, Bill(Edited by)
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Risk has always been central to finance, and managing risk depends critically on information.

As evidenced by recent events, the need has never been greater for skills, systems and methodologies to manage risk information in financial markets.

Authored by leading figures in risk management and analysis, this handbook serves as a unique and comprehensive reference for the technical, operational, regulatory and political issues in collecting, measuring and managing financial data.

It will appeal to a wide range of audiences, from financial industry practitioners and regulators responsible for implementing risk management systems, to system integrators and software firms helping to improve such systems.

Volume 1 examines the business and regulatory context that makes risk information so important.

Volume 2 describes a structural and operational framework for managing a financial risk data repository.

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£202.00
Product Details
Cambridge University Press
1107690706 / 9781107690707
Mixed media product
658.155
09/01/2014
United Kingdom
1170 pages, 80 Tables, black and white; 15 Halftones, unspecified; 140 Halftones, color; 10 Line dra
178 x 254 mm, 2800 grams
Professional & Vocational Learn More