Descripción:
Elsevier, 2007. This is an ex-library book and may have the usual library/used-book markings inside.This book has hardback covers. In good all round condition. No dust jacket. Please note the Image in this listing is a stock photo and may not match the covers of the actual item,850grams, ISBN:9780123694669
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Value at Risk and Bank Capital Management: Risk Adjusted Performances, Capital Management and Capital Allocation Decision Making Tapa dura - 2007 - 1st Edición
de Francesco Saita
Bank capital management is a major concern for banking and finance today due to Basel II, a set of regulatory guidelines aimed at promoting greater consistency in the way bands and banking regulators approach risk management across national borders. The combination of discussions about sophisticated and cutting-edge risk measurement techniques and practical bank decision-making about capital management and allocation make this book unique.
Detalles
- Título Value at Risk and Bank Capital Management: Risk Adjusted Performances, Capital Management and Capital Allocation Decision Making
- Autor Francesco Saita
- Encuadernación Tapa dura
- Número de edición 1st
- Edición 1
- Páginas 280
- Volúmenes 1
- Idioma ENG
- Editorial Academic Press, London
- Fecha de publicación February 9, 2007
- Ilustrado Sí
- Features Bibliography, Illustrated, Index, Table of Contents
- ISBN 9780123694669 / 0123694663
- Peso 1.71 libras (0.78 kg)
- Dimensiones 10.26 x 7.48 x 0.8 pulgadas (26.06 x 19.00 x 2.03 cm)
- Library of Congress subjects Bank capital, Banks and banking - Risk management
- Dewey Decimal Code 332.1
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Value at Risk and Bank Capital Management
de Saita, F.
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- 9780123694669 / 0123694663
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Value at Risk and Bank Capital Management
de Saita, F.
- Usado
- Tapa dura
- Estado
- Usado
- Encuadernación
- Hardcover
- ISBN 10 / ISBN 13
- 9780123694669 / 0123694663
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Lincoln, Lincolnshire, United Kingdom
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Descripción:
Elsevier, 2007. This is an ex-library book and may have the usual library/used-book markings inside.This book has hardback covers. In good all round condition. No dust jacket. Please note the Image in this listing is a stock photo and may not match the covers of the actual item,850grams, ISBN:9780123694669
Precio
EUR 15.07
EUR 15.18
enviando a USA
Foto de archivo: la portada puede ser diferente
Value at Risk and Bank Capital Management
de Saita, F.
- Usado
- Tapa dura
- Estado
- Usado
- Encuadernación
- Hardcover
- ISBN 10 / ISBN 13
- 9780123694669 / 0123694663
- Cantidad disponible
- 1
- Librería
-
Lincoln, Lincolnshire, United Kingdom
- Precio
-
EUR 15.07EUR 15.18 enviando a USA
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Descripción:
Elsevier, 2007. This is an ex-library book and may have the usual library/used-book markings inside.This book has hardback covers. In fair condition, suitable as a study copy. No dust jacket. Please note the Image in this listing is a stock photo and may not match the covers of the actual item,850grams, ISBN:9780123694669
Precio
EUR 15.07
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Value at Risk and Bank Capital Management: Risk Adjusted Performances, Capital Management and Capital Allocation Decision Making (Academic Press Advanced Finance Series)
de Saita, Francesco
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Lincoln, Lincolnshire, United Kingdom
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EUR 32.82EUR 15.18 enviando a USA
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Descripción:
Elsevier, 2007. This is an ex-library book and may have the usual library/used-book markings inside.This book has hardback covers. In good all round condition. No dust jacket. Please note the Image in this listing is a stock photo and may not match the covers of the actual item,850grams, ISBN:9780123694669
Precio
EUR 32.82
EUR 15.18
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Value at Risk and Bank Capital Management: Risk Adjusted Performances, Capital Management and Capital Allocation Decision Making (Academic Press Advanced Finance)
de Add Saita, Francesco
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Saint Louis, Missouri, United States
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EUR 44.36EUR 3.73 enviando a USA
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New. Safe and Secure Mailer. No Hassle Return.
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Value at Risk and Bank Capital Management: Risk Adjusted Performances, Capital Management and Capital Allocation Decision Making (Academic Press Advanced Finance)
de Saita, Francesco
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New. Bookstore new w/ minor wear.
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Value at Risk and Bank Capital Management: Risk Adjusted Performances, Capital Management and Capital Allocation Decision Making (Academic Press Advanced Finance)
de Saita, Francesco
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Newport Coast, California, United States
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EUR 54.25Envío gratuito a USA
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Hardcover. Good. Access codes and supplements are not guaranteed with used items.
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EUR 54.25
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Value at Risk and Bank Capital Management: Risk Adjusted Performances, Capital Management and Capital Allocation Decision Making (Academic Press Advanced ... (Academic Press Advanced Finance Series)
de Francesco Saita
- Nuevo
- Tapa dura
- Estado
- Nuevo
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- Hardcover
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- 9780123694669 / 0123694663
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Exeter, Devon, United Kingdom
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EUR 81.70EUR 11.90 enviando a USA
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Descripción:
Academic Pr, 2007. Hardcover. New. illustrated edition. 280 pages. 10.25x7.25x0.75 inches.
Precio
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EUR 11.90
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Value at Risk and Bank Capital Management: Risk Adjusted Performances, Capital Management and Capital Allocation Decision Making
de Francesco Saita
- Nuevo
- Tapa dura
- Estado
- Nuevo
- Encuadernación
- Hardcover
- ISBN 10 / ISBN 13
- 9780123694669 / 0123694663
- Cantidad disponible
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Southport, Merseyside, United Kingdom
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EUR 87.24EUR 11.84 enviando a USA
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Hardback. New. Argues that even though risk measurement techniques have greatly improved for market, credit and operational risk, capital management and capital allocation decisions are far from becoming purely technical and mechanical. This book contains analysis of technical VaR measures.
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Value at Risk and Bank Capital Management: Risk Adjusted Performances, Capital Management and Capital Allocation Decision Making (Academic Press Advanced Finance)
de Saita, Francesco
- Nuevo
- Tapa dura
- Estado
- Nuevo
- Encuadernación
- Hardcover
- ISBN 10 / ISBN 13
- 9780123694669 / 0123694663
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San Diego, California, United States
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EUR 82.36EUR 5.09 enviando a USA
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Descripción:
Academic Press, 2007-02-23. Hardcover. New. New. In shrink wrap. Looks like an interesting title!
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EUR 82.36
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