Search Images Maps Play YouTube News Gmail Drive More »
My library | Help | Advanced Book Search | Web History | Sign in

Books

Risk Management:

Foundations For a Changing Financial World (Google eBook)
Front Cover
Walter V. ?Bud? Haslett, Jr., CFA
2 Reviews
John Wiley & Sons, Oct 5, 2010 - Business & Economics - 560 pages
Key readings in risk management from CFA Institute, the preeminent organization representing financial analysts

Risk management may have been the single most important topic in finance over the past two decades. To appreciate its complexity, one must understand the art as well as the science behind it. Risk Management: Foundations for a Changing Financial World provides investment professionals with a solid framework for understanding the theory, philosophy, and development of the practice of risk management by

  • Outlining the evolution of risk management and how the discipline has adapted to address the future of managing risk
  • Covering the full range of risk management issues, including firm, portfolio, and credit risk management
  • Examining the various aspects of measuring risk and the practical aspects of managing risk
  • Including key writings from leading risk management practitioners and academics, such as Andrew Lo, Robert Merton, John Bogle, and Richard Bookstaber

For financial analysts, money managers, and others in the finance industry, this book offers an in-depth understanding of the critical topics and issues in risk management that are most important to today’s investment professionals.

  

What people are saying - Write a review

We haven't found any reviews in the usual places.

Related books

Contents

OVERVIEWTWO DECADES OF RISK MANAGEMENT 19901999 Chapter 1 A Framework for Understanding Market Crisis
7
CHAPTER 2
25
CHAPTER
37
CHAPTER 3
39
CHAPTER
45
CHAPTER
53
CHAPTER 4
61
2000Present
69
CHAPTER 26
379
CHAPTER 27
391
Credit Risk
407
CHAPTER 29
427
and Credit Analysis
447
Derivatives
459
CHAPTER 32
475
CHAPTER 33
487

A Review
73
CHAPTER 6
87
Defining Risk
113
CHAPTER 7
125
CHAPTER 8
133
CHAPTER 9
139
CHAPTER 10
153
MEASURING RISK
161
CHAPTER 12
175
CHAPTER 13
189
CHAPTER 14
205
CHAPTER 15
219
CHAPTER 16
233
CHAPTER 17
249
CHAPTER 19
273
CHAPTER 20
283
CHAPTER 21
301
CHAPTER 22
317
CHAPTER 23
323
CHAPTER 24
353
CHAPTER 25
367
CHAPTER 34
501
CHAPTER 35
511
Global Risk
529
in International Equity Portfolios
539
CHAPTER 38
551
CHAPTER 39
567
CHAPTER 40
573
CHAPTER 41
583
CHAPTER 42
651
CHAPTER 43
657
CHAPTER 44
667
CHAPTER 46
681
CHAPTER 47
689
CHAPTER 48
701
Pension Risk
715
CHAPTER 50
735
CHAPTER 51
745
CHAPTER 52
755
About the Contributors
781
Copyright

Common terms and phrases

About the author (2010)

Walter V. "Bud" Haslett Jr., CFA, is Head, Risk Management, Derivatives, and Alternative Investments for CFA Institute. Mr. Haslett has served CFA Institute as an exam grader and member of the Council of Examiners as well as an ad hoc reviewer for the Financial Analysts Journal and abstractor for the CFA Digest. He is past president of the CFA Society of Philadelphia and former board member of the New York Society of Security Analysts. He holds a Master of Liberal Arts from the University of Pennsylvania and an MBA from Drexel University. Prior to joining CFA Institute, Mr. Haslett was head of option analytics for Miller Tabak & Co., LLC, and spent much of his career managing risk on the option trading floors at the Philadelphia Stock Exchange.

Bibliographic information