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金融風險管理(第5版) 版權信息
- ISBN:9787301352519
- 條形碼:9787301352519 ; 978-7-301-35251-9
- 裝幀:平裝-膠訂
- 冊數:暫無
- 重量:暫無
- 所屬分類:>
金融風險管理(第5版) 本書特色
本書既可作為高等院校金融學專業、金融工程專業以及經管類其他專業教材,也可以供金融從業人員參考使用。
金融風險管理(第5版) 內容簡介
本書根據金融風險管理理論的內在邏輯,全面系統地介紹了金融風險管理原理和方法,全書分為3篇。第1篇基本原理,主要介紹金融風險形成的基本理論,根據金融風險管理流程,分別分析了金融風險識別與度量,解釋了金融風險預警的基本思想。第⒉篇商業銀行,在總體介紹商業銀行風險管理的基本原理基礎上,對商業銀行面臨的主要風險如信用風險、流動性風險、利率風險、匯率風險、操作風險加以詳細分析。第3篇主要金融市場,先后分析了股市、債券市場、基金市場、保險市場、金融衍生品市場及信托與租賃風險管理的方法。 本書既可作為高等院校金融學專業、金融工程專業以及經管類其他專業教材,也可以供金融從業人員參考使用。
金融風險管理(第5版) 目錄
第1章 金融風險概述························································································ 002
第2章 金融風險管理的基本理論······································································· 032
第3章 金融風險的識別與度量··········································································· 054
第4章 金融風險的預警····················································································· 075
第二篇 商業銀行
第5章 商業銀行風險管理概述··········································································· 096
第6章 信用風險管理························································································ 124
第7章 流動性風險管理····················································································· 151
第8章 利率風險管理························································································ 166
第9章 匯率風險管理························································································ 188
第10章 操作風險管理······················································································ 203
第三篇 主要金融市場
第11章 股票市場風險管理················································································ 226
第12章 債券市場風險管理··············································································· 246
第13章 基金市場風險管理··············································································· 267
第14章 保險市場風險管理··············································································· 279
第15章 金融衍生品市場風險管理····································································· 306
參考文獻 ·········································································································· 328
金融風險管理(第5版) 作者簡介
朱淑珍
----------------------------
東華大學旭日工商管理學院,教授,博士生導師,金融風險研究所所長,中國金融工程學會理事,寶鋼獎全國優秀教師獲得者。
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