ERIK BANKS, an independent risk consultant, writer, and lecturer, has held senior risk management positions at several global financial institutions over the past 20 years, including Merrill Lynch, Citibank, and XL Capital. He is the author of 18 books on risk, derivatives, governance, and merchant banking, including the John Wiley titles Alternative Risk Transfer, Exchange-Traded Derivatives, The Simple Rules of Risk, and E-Finance.
14 Ebooks oleh Erik Banks
Erik Banks: Catastrophic Risk
Catastrophic risk is one of the most significant and challenging areas of corporate risk management. Analyze this risk for your company with Catastrophic Risk and make sure you have sufficient resour …
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€66.99
Erik Banks: Synthetic and Structured Assets
Organized along product lines, the book will analyze many of the original classes of structured assets, including mortgage- and asset-backed securities and strips, as well as the newest structured an …
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€49.99
Erik Banks: The Simple Rules of Risk
In an age where companies and financial institutions are keenly focused on managing the financial risk of their operations, the implementation of quantitative methods and models has been of tremendou …
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€71.99
Erik Banks: Alternative Risk Transfer
A practical approach to ART-an alternative method by which companies take on various types of risk This comprehensive book shows readers what ART is, how it can be used to mitigate risk, and how cert …
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€91.99
Erik Banks: Exchange-Traded Derivatives
Exchange-Traded Derivatives provides an overview of the global listed futures and options markets, and how individual exchanges and products are adapting to a new operating environment – an environme …
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€76.99
Erik Banks & Richard Dunn: Practical Risk Management
A proven way to manage risk in today’s business world Understanding how the risk process works is a critical concept that business professionals must come to learn. For those who must understand the …
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€81.99
Erik Banks & Morton Glantz: Credit Derivatives
After reading this book, readers will be able to: Identify product consideration and borrower characteristics Understand expected vs. unexpected losses Evaluate the probability of default Determine t …
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€68.78
Erik Banks: Credit Risk of Financial Instruments
Market volatility and competition have each played a significant role in altering the state of banking over the last twenty years. During the 1980s and 1990s banks have been exposed to new types of r …
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€229.05
Erik Banks: Emerging Asian Fixed Income Markets
The investor community is constantly looking for new sources of investment opportunity in the form of current income and capital gains. Much of the focus by fund managers, institutional investors and …
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€166.02
Erik Banks: Asia Pacific Derivative Markets
Erik Banks, responsible for global risk management at Merrill Lynch in Hong Kong, has written another text on the derivatives field covering innovation in these instruments in Asia Pacific. The text …
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€231.05
Erik Banks: Credit Risk of Complex Derivatives
This edition of The Credit Risk of Complex Derivatives is fully updated and enhanced. It discusses and analyses the credit risks of the new financial derivatives. The book commences with an overview …
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€166.29
Erik (Banking Professional and Financial Author, USA) Banks: Finance
Now in its fourth edition, Finance: The Basics is a clear and practical introduction to the world of finance. It thoroughly explains essential financial statements, tools, and concepts; fundamental f …
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€24.54
Erik (Banking Professional and Financial Author, USA) Banks: Finance
Now in its fourth edition, Finance: The Basics is a clear and practical introduction to the world of finance. It thoroughly explains essential financial statements, tools, and concepts; fundamental f …
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€24.44