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- catalog contributor b9749833.
- catalog contributor b9749834.
- catalog contributor b9749835.
- catalog created "1995.".
- catalog date "1995".
- catalog date "1995.".
- catalog dateCopyrighted "1995.".
- catalog description "Dimensions of risk management: definition and implications for financial services / George Parker -- Nuclear financial economics / William F. Sharpe -- The geometry of commercial bank balance sheet management / Richard D. Lodge -- Debt management and interest rate risk / Darrell Duffie -- Managing mortgage risks / Mark Faris, Richard Kovacevich, Sonja Rodine -- Elements of quantitative risk management / Ayman Hindy -- Should firms use derivatives to manage risk? / David Fite, Paul Pfleiderer -- Valuation risk and financial reporting / Joseph Mauriello, Joseph Erickson -- Risk measurement / William H. Beaver, Mark A. Wolfson -- Operating risk in financial services / Joel P. Friedman, Frank Terzuoli -- Risk management and new financial products / Eff W. Martin, Jan B. Brzeski -- Bank capital requirements and incentives for lending / Charles J. Jacklin -- Comparative risk management practices: Japan versus the U.S. / Yasunori Nagai -- Yield curve risk management for government bond portfolios: an international comparison / Kenneth J. Singleton -- The internal call market: a clean, well-lighted place to trade / Frederick L.A. Grauer, Terrance Odean -- The future of futures / Myron S. Scholes.".
- catalog extent "xiv, 369 p. :".
- catalog identifier "0070485887".
- catalog isPartOf "McGraw-Hill series in finance".
- catalog issued "1995".
- catalog issued "1995.".
- catalog language "eng".
- catalog publisher "New York : McGraw-Hill,".
- catalog subject "658.155 20".
- catalog subject "Finance Risks Management".
- catalog subject "Financial services industry Management.".
- catalog subject "Risk management.".
- catalog tableOfContents "Dimensions of risk management: definition and implications for financial services / George Parker -- Nuclear financial economics / William F. Sharpe -- The geometry of commercial bank balance sheet management / Richard D. Lodge -- Debt management and interest rate risk / Darrell Duffie -- Managing mortgage risks / Mark Faris, Richard Kovacevich, Sonja Rodine -- Elements of quantitative risk management / Ayman Hindy -- Should firms use derivatives to manage risk? / David Fite, Paul Pfleiderer -- Valuation risk and financial reporting / Joseph Mauriello, Joseph Erickson -- Risk measurement / William H. Beaver, Mark A. Wolfson -- Operating risk in financial services / Joel P. Friedman, Frank Terzuoli -- Risk management and new financial products / Eff W. Martin, Jan B. Brzeski -- Bank capital requirements and incentives for lending / Charles J. Jacklin -- Comparative risk management practices: Japan versus the U.S. / Yasunori Nagai -- Yield curve risk management for government bond portfolios: an international comparison / Kenneth J. Singleton -- The internal call market: a clean, well-lighted place to trade / Frederick L.A. Grauer, Terrance Odean -- The future of futures / Myron S. Scholes.".
- catalog title "Risk management : problems & solutions / William H. Beaver, George Parker, editors.".
- catalog type "text".