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Risk management

by Bennett W. Golub, Leo M. Tilman

Cover of Risk management
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"Written by two senior risk management practitioners of a global money management and risk advisory firm, this book utilizes a blend of finance, economics, mathematics, and common sense in applying financial modeling techniques to managing risk in fixed income markets. With a focus on both theoretical and practical considerations, a variety of existing and new approaches are brought together in a thorough but easy-to-understand fashion, including: interest rate and basis risk durations; scenario analysis; expected rate of return; principal components analysis; value-at-risk; stress testing; and portfolio and hedge optimizations."--BOOK JACKET.

Risk managementPortfolio managementFixed-income securities
Risk management by Bennett W. Golub, Leo M. Tilman — book · Vinony