Risk management and financial institutions
Year of publication: |
2012 ; 3. ed.
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Authors: | Hull, John |
Publisher: |
Hoboken, NJ : Wiley |
Subject: | Finanzsektor | Financial sector | Bankrisiko | Bank risk | Kreditrisiko | Credit risk | Zinsrisiko | Interest rate risk | Währungsrisiko | Exchange rate risk | Risikomanagement | Risk management | Kreditwesen |
Description of contents: | Table of Contents [swbplus.bsz-bw.de] ; Description [swbplus.bsz-bw.de] |
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Risk management and financial institutions
Hull, John, (2023)
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Risk management and financial institutions
Hull, John, (2018)
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Risk management and financial institutions
Hull, John, (2010)
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The first history of derivatives
Hull, John, (2002)
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The Role of Default Correlation in Valuing Credit Dependant Securities
Bobey, William, (2008)
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A Methodology for Assessing Model Risk and its Application to the Implied Volatility Function Model
Hull, John, (2002)
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