Bugár Gyöngyi

Market and Credit Risk Management


Managing market risk

In the following, we will discuss tools for managing market risk. Since it is linked to the volatility of market variables (exchange rates, interest rates), for which we usually have a large amount of data on their historical value, it is not by chance that we have the most sophisticated toolbox to manage this type of risk.

Market and Credit Risk Management

Tartalomjegyzék


Kiadó: Akadémiai Kiadó

Online megjelenés éve: 2023

ISBN: 978 963 454 857 7

International credit crunch, Mexican peso crisis, Asian crisis, sub-prime mortgage crisis... It is enough to think back to the financial crises of the last few decades to see why risk management is essential in the economy. This book will introduce the reader to the basics of financial risk management and the tools for managing market and credit risk. However, the book is not only for those who are starting to be familiar with risk management. Its middle section, where the author describes the various risk indicators and measures, should also provide interesting information for professionals. Particularly commendable that Gyöngyi Bugár guiding us with thematically structured practical examples through this dynamically evolving field.

Bálint Zsoldos - Credit risk analyst of an international investment bank

Hivatkozás: https://mersz.hu/bugar-market-and-credit-risk-management//

BibTeXEndNoteMendeleyZotero

Kivonat
fullscreenclose
printsave