
Av Aymeric Kalife, 2026.Del av serien Chapman and Hall/CRC Financial Mathematics Series.
Managing Risk Appetites across Modelling, Structuring, and Hedging
Sustainable Financial Structured Products: Managing Risk Appetite across Modelling, Structuring, and Hedging gives an overview of all relevant aspects of Financial Structured Products (i.e. long-term savings products) from the risk perspective of both issuers (banks, insurers) and customers. It contains technical details associated with both practice and theory, specifically related to modelling, product design, investments, and risk management challenges and solutions, tailored to both savings institutions and customer perspectives. Offers detailed theoretical background alongside concrete, cutting-edge "quick wins" across strategic and operational business axes. Delivers practicaltools for professionals in the banking industry, as well as great teaching/learning resources for students. Highlights operational challenges across modelling, product designs, and hedging. This book is aimed at practicing risk managers and associated professionals but can also be a useful teaching resource for courses in risk management, financial structured products, and other related topics.
Ikke tilgjengelig for Klikk&Hent
Forhåndsbestill
Forventes i salg 30.06.2026

Av Aymeric Kalife, 2026.Del av serien Chapman and Hall/CRC Financial Mathematics Series.
Managing Risk Appetites across Modelling, Structuring, and Hedging
Sustainable Financial Structured Products: Managing Risk Appetite across Modelling, Structuring, and Hedging gives an overview of all relevant aspects of Financial Structured Products (i.e. long-term savings products) from the risk perspective of both issuers (banks, insurers) and customers. It contains technical details associated with both practice and theory, specifically related to modelling, product design, investments, and risk management challenges and solutions, tailored to both savings institutions and customer perspectives. Offers detailed theoretical background alongside concrete, cutting-edge "quick wins" across strategic and operational business axes. Delivers practicaltools for professionals in the banking industry, as well as great teaching/learning resources for students. Highlights operational challenges across modelling, product designs, and hedging. This book is aimed at practicing risk managers and associated professionals but can also be a useful teaching resource for courses in risk management, financial structured products, and other related topics.
Ikke tilgjengelig for Klikk&Hent
Forhåndsbestill
Forventes i salg 30.06.2026
Ved å fullføre kjøpet aksepterer du kjøpsvilkårene.