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Financial Risk Assessment and Management with Six Sigma DMAIC Methods

Financial Risk Assessment and Management with Six Sigma DMAIC Methods

von Vojo Bubevski
Softcover - 9786205497005
74,90 €
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Beschreibung

¿Financial Risk Assessment and Management with Six Sigma DMAIC Methods¿ is a practical book. This book is purposed for Risk Management professionals, managers, risk managers, risk analysts, academics, and degree students teaching/studying Management, Risk Management, Risk & Decision Analysis, and Operations Research. The book chapters are Six Sigma DMAIC, Comprehensive Risk Analysis in Investment Portfolio, Investments Risk Management, Markov Chain Monte Carlo Price Evolution, Bank Loan Portfolio Risk, Estimating Loan Interest Rates and Payments, Risk Analysis of Insurance Claims with Reinsurance Option, and Insurance Claims Payments Risk Analysis. The author¿s distinguished book "Six Sigma Improvements for Basel III and Solvency II in Financial Risk Management" including the Six Sigma DMAIC methods for Risk Management has been recognised and ranked 30 with 4.13 stars in the "100 Best Financial Risk Management Books of All Time" by the BookAuthority. Bernstein stated, ¿the risk will always be there, so we must explore many interesting tools that can help us to control risks we cannot avoid taking¿ (Bernstein & Damodaran 1998). The author¿s Six Sigma DMAIC Methods are one such tool.

Emerging Research and Opportunities for Basel III & Solvency II

Details

Verlag LAP LAMBERT Academic Publishing
Ersterscheinung 07. September 2022
Maße 22 cm x 15 cm x 1.6 cm
Gewicht 405 Gramm
Format Softcover
ISBN-13 9786205497005
Seiten 260