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Computational finance - Computational finance (also known as financial engineering) is a cross-disciplinary field which relies on mathematical finance and computer simulations to make trading, hedging and investment decisions, as well as facilitating the risk management of those decisions. Utilizing various methods, computational finance aims to precisely determine the financial risk that certain financial instruments create.
Risk Waters Group - Risk Waters Group Ltd is a London based company that provides business services such as risk management, credit, market data and computational finance through magazines, journals, newsletters, and conferences. They also have offices in New York and Hong Kong.
Financial risk management - Financial risk management is the practice of creating value in a firm by using financial instruments to manage exposure to risk. Similar to general risk management, financial risk management requires identifying the sources of risk, measuring risk, and plans to address them.
Risk management - Generally, Risk Management is the process of measuring, or assessing risk and then developing strategies to manage the risk. In general, the strategies employed include transferring the risk to another party, avoiding the risk, reducing the negative effect of the risk, and accepting some ...
AllenWeb - Articles and links to resources about project management, project finance, automation systems, decision-risk analysis, and risk management.
Mathematical Finance Company - ... indices, and other economic variables based on an underlying arbitrage free two factor interest rate model. Produces both real probability scenarios and risk neutral probability scenarios.
RM Solutions - A Canadian firm which offers advice and services to senior management on insurance, risk financing, alternative risk transfer, occupational health, safety, and environmental matters.
Source: BazSites.net
Approach Finance Management Physicist Quantitative Risk - Approach Finance Management Physicist Quantitative Risk Quantitative Finance and Risk Management: A Physicist' ...
Approach Finance Management Physicist Quantitative Risk - Approach Finance Management Physicist Quantitative Risk Quantitative Finance and Risk Management: A Physicist' ...
Management Probability Risk - Management Probability Risk Money Management Strategies for Futures & Options Traders by Nauzer ...
Project Risk Management Software - Project Risk Management Software Quality Software Project Management by Robert T. Futrell, The practical handbook ...
Business Finance Solution - Business Finance Solution Puzzles of Finance: Six Practical Problems and Their Remarkable Solutions by ... with an entertaining way of learning some serious finance."-Harry Markowitz, Nobel Prize Recipient, 1990, Economic ...
Ubs Global Asset Management - Ubs Global Asset Management Managing Global Financial and Foreign Exchange Rate Risk A comprehensive ...
Ubs Global Asset Management - Ubs Global Asset Management Managing Global Financial and Foreign Exchange Rate Risk A comprehensive ...
Ubs Global Asset Management - Ubs Global Asset Management Managing Global Financial and Foreign Exchange Rate Risk A comprehensive ...
The Bullish Thinking Guide for Managers: How to Save Your Advisors and Grow Your Bottom Line : "The Bullish Thinking Guide for Managers" serves as an educational tool for proactively dealing with emotional distress that may affect advisors in the high-risk/high-reward world of finance. In it, Dr. Alden Cass and Dr. Brian Shaw--with the help of Sydney LeBlanc--explore strategies that will help you recognize potential job stressors, manage office conflicts, and implement appropriate solutions. It will also assist you in developing a specific set of skills that will allow you to deal with the unpredictability of this environment.
Financial Darwinism: Create Value or Self-Destruct in a World of Risk : In "Financial Darwinism," author Leo Tilman lays the groundwork for understanding the new financial order by introducing his evolutionary thesis and then outlines an actionable decision-making framework that enables financial institutions and investors to fully leverage the power of business strategy, corporate finance, investment analysis, and risk management. "Financial Darwinism" is an invaluable road map to today's financial world and an essential guide to surviving and thriving during these challenging times.
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