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2005-4-30 01:34:00

The History of Banks(daviddu友情提供)

https://bbs.pinggu.org/viewthread.php?tid=11604&page=1#pid65099

[此贴子已经被sun_man于2005-6-6 0:03:38编辑过]

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2005-4-30 01:36:00

Introduction to the Mathematics of Financial Derivatives  by Salih N. Neftci(lilu友情提供)

下面是amazon关于该书评论的链接

http://www.amazon.com/exec/obidos/ASIN/0125153929/qid=1100827156/sr=2-1/ref=pd_ka_b_2_1/102-3918433-3540940

https://bbs.pinggu.org/viewthread.php?tid=3838&page=1#pid18999

[此贴子已经被sun_man于2005-6-6 0:04:07编辑过]

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2005-4-30 01:37:00

Modeling and Risk Management for Equity-Linked Life Insurance(sunzhuqing友情提供)

This book is designed for all practitioners working in equity-linked insurance, whether in product design, marketing, pricing and valuation, or risk management. It is written with actuaries in mind, but it should also be interesting to other investment professionals.

https://bbs.pinggu.org/viewthread.php?tid=14349&page=1#pid85769

[此贴子已经被sun_man于2005-6-6 0:04:28编辑过]

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2005-4-30 01:38:00

The dark side of valuation,(英文版,nickle友情提供)

书中的第一章就提出了以“生命周期”来评价公司的观点,并且罗列了不少科技公司及其上市的股票表现作为佐证,不错不错。

https://bbs.pinggu.org/viewthread.php?tid=3792&page=1#pid18813

[此贴子已经被sun_man于2005-6-6 0:04:43编辑过]

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2005-4-30 01:42:00

Elements of Financial Management

Peter Christoffersen (Rita_qu友情提供)

Description of Elements of Financial Risk Management Value-at-Risk has emerged as the standard tool for measuring and reporting financial market risk. Currently, more than eighty commercial vendors offer enterprise or trading risk management systems that provide VAR-like measures. Risk managers are therefore often left with the daunting task of having to choose from this plethora of risk measures.

While basic VAR textbooks describe average VAR situations, the vast majority of these situations are abnormal. Elements of Financial Risk Management focuses on implementation, especially recent techniques which facilitate "bridging the gap" between standard textbooks on risk and real-life risk management systems.

This book will appeal to practitioners in the financial services and investment industries, as well as graduate students and advanced undergraduates who want exposure to these techniques. Contents of Elements of Financial Risk Management - Risk Management and Financial Returns - Volatility Forecasting - Correlation Modeling - Modeling the Conditional Distribution - Simulation-Based Methods - Option Pricing - Modeling Option Risk - Backtesting and Stress Testing

Comments from other readers(from amazon)

Crisp and Practical. Attached Excel files are beautiful!!, May 29, 2004 Reviewer: "yuyamaz" (Japan) - See all my reviews I actually learnt elements of risk management and derivatives in a graduate program using this book. Though I was a perfect amateur in this area, I could understand the essence without taking so much time. That was because this book is short and to the point. Additionally, it is a fair bit practical by adding Excel work files full of models and functions often used in Financial industry. I think the book is also well designed for independent study. All answer files of exercises are contained in an attached CD-ROM. The best book without question.

Clear and concise, February 5, 2004 Reviewer: "cornth3" - See all my reviews The book has its materials laid out clearly with stated goals and conclusions to keep readers well focused. It gives a very concise yet clear explainations to the recent advancements in risk managment. The mathematics in this book isn't difficult for the beginners, yet it can be challenging to those advanced readers who want to get technical; this book is for everyone! Moreover, you can try it! - a real hand on practice by doing the excercises included in the CD-rom. This book really gave me a practical intuition to the those time-series methods that were taught in the graduate econometrics course. This book is a gold mine among the students and practitioners of financial risk management.

Clear and concised! Great book, January 22, 2004 Reviewer: Chayawat Ornthanalai (Bangkok, Thailand) - See all my reviews The book has its materials laid out clearly with stated goals and conclusions to keep readers well focused. It gives a very concise yet amazingly clear explainations to the recent advancements in risk managment. The mathematics included in this book isn't difficult for the beginners yet it is still challenging to those advanced readers who want to get technical; this book is for everyone! Plus you can get a hand on practice by doing the excercises included in the CD-rom. For me, this book gives me a practical intuition to the those time-series methods that were taught in the graduate econometrics course.

Excellent Purchase, November 20, 2003 Reviewer: Gregory Vainberg (Canada) - See all my reviews This text provides a comprehensive introduction to the growing field of modern Risk Management. Strong points include a very readable section on statistical modeling for volatility and correlation accompanied by many practical excel exercises that enable the reader to apply the theory first hand. The author complements the theory nicely with simple intuitive explanations. I would definitely recommend this book to anyone interested in learning about the theory and practice of risk anagement

Great Book, October 14, 2003 Reviewer: vadim di pietro (USA) - See all my reviews I think this book is a must read for anyone who is currently involved or plans to be involved in the world of Risk Management or even Finance in general. It's a really pleasant read as Christoffersen provides intuitive and clear explanations to back up all his models. Topics that would otherwise be difficult to wrap your head around all of a sudden make sense!

Copyright by Peter Christoffersen 仅供学习参考不用于商业目的

下面是文章部分

https://bbs.pinggu.org/viewthread.php?tid=5807&page=1#pid29399

[此贴子已经被sun_man于2005-6-6 0:04:55编辑过]

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2005-4-30 01:43:00

Basel II parameter calculation for retail loans (simon友情提供)

https://bbs.pinggu.org/viewthread.php?tid=11249&page=1#pid62225

 

[此贴子已经被sun_man于2005-6-5 23:56:52编辑过]

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2005-4-30 01:44:00

《巴塞尔新资本协议》(中英文对照,Word文档,文心雕龙友情提供)

http://www.pinggu.org/bbs/viewthread.php?tid=6491&page=1#pid33041

[此贴子已经被sun_man于2005-6-5 23:57:12编辑过]

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2005-4-30 01:45:00

价值评估--公司价值的衡量与管理(tangt友情提供)

https://bbs.pinggu.org/viewthread.php?tid=5404&page=1#pid27113

[此贴子已经被sun_man于2005-6-6 0:00:36编辑过]

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2005-4-30 01:46:00

沃伦.巴菲特经营谋略(guoguo99友情提供)

文旗 编译 西北工业大学出版社

https://bbs.pinggu.org/viewthread.php?tid=11120&page=1#pid61335

[此贴子已经被sun_man于2005-6-5 23:59:53编辑过]

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2005-4-30 01:47:00

投资估价--评估任何资产价值的工具(tangt友情提供)

https://bbs.pinggu.org/viewthread.php?tid=5444&page=1#pid27289

[此贴子已经被sun_man于2005-6-6 0:00:05编辑过]

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2005-4-30 01:48:00

excel 金融计算(majunsky友情提供)

https://bbs.pinggu.org/viewthread.php?tid=10934&page=1#pid60179

[此贴子已经被sun_man于2005-6-5 23:59:28编辑过]

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2005-4-30 01:49:00

国泰金融投资丛书--------国际投资(cschinacs友情提供)

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2005-5-14 00:27:00

《投资评价》,财务分析和决策人员的提高版本(kyeemac友情提供)

https://bbs.pinggu.org/viewthread.php?tid=20297&page=1#pid125643

[此贴子已经被sun_man于2005-6-5 23:59:18编辑过]

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2005-6-1 13:16:00

国际风险与保险,非扫描[ericlee友情提供]

https://bbs.pinggu.org/viewthread.php?tid=9854&page=1#pid52315

[此贴子已经被sun_man于2005-6-5 23:57:52编辑过]

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