Nalazite se na CroRIS probnoj okolini. Ovdje evidentirani podaci neće biti pohranjeni u Informacijskom sustavu znanosti RH. Ako je ovo greška, CroRIS produkcijskoj okolini moguće je pristupi putem poveznice www.croris.hr
izvor podataka: crosbi !

Market risk in transition countries - Value at risk approach (CROSBI ID 7076)

Autorska knjiga | monografija (znanstvena)

Žiković, Saša Market risk in transition countries - Value at risk approach. Rijeka: Solutio, 2010

Podaci o odgovornosti

Žiković, Saša

engleski

Market risk in transition countries - Value at risk approach

The book “Market Risk in Transition countries - Value at Risk Approach”gives a unique insight into the true nature of market risks in transition markets. Inadequate use of risk models for the purpose of forming capital reserves in transition markets often leads to significant losses. The wide-spread risk models currently in use are not successful in forecasting such events. By employing adequate risk measures, the investors can profit from lower costs linked with lower capital reserves and still protect their investments. The book provides an extensive treatment of the state of the art in market risk measurement. Financial professionals in both the front and back office require an understanding of market risk and ways of managing it. This book is filled with clear and accessible explanations of complex issues that arise in risk measuring - ranging from parametric to fully nonparametric risk estimation.

Transition countries; Market risk; Risk management; Value at Risk

nije evidentirano

nije evidentirano

nije evidentirano

nije evidentirano

nije evidentirano

nije evidentirano

Podaci o izdanju

Rijeka: Solutio

2010.

978-953-7332-04-4

394

objavljeno

Povezanost rada

Ekonomija