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Goal Programming Techniques for Bank Asset Liability Management (Hardcover, 2004 ed.): Kyriaki Kosmidou, Constantin Zopounidis Goal Programming Techniques for Bank Asset Liability Management (Hardcover, 2004 ed.)
Kyriaki Kosmidou, Constantin Zopounidis
R2,966 Discovery Miles 29 660 Ships in 10 - 15 working days

Other publications that exist on this topic, are mainly focused on the general aspects and methodologies of the field and do not refer extensively to bank ALM. On the other hand the existing books on goal programming techniques do not involve the ALM problem and more specifically the bank ALM one. Therefore, there is a lack in the existing literature of a comprehensive text book that combines both the concepts of bank ALM and goal programming techniques and illustrates the contribution of goal programming techniques to bank ALM. This is the major contributing feature of this book and its distinguishing characteristic as opposed to the existing literature.

This volume would be suitable for academics and practitioners in operations research, management scientists, financial managers, bank managers, economists and risk analysts. The book can also be used as a textbook for graduate courses of asset liability management, financial risk management and banking risks.

Country Risk Evaluation - Methods and Applications (Paperback, Softcover reprint of hardcover 1st ed. 2008): Kyriaki Kosmidou,... Country Risk Evaluation - Methods and Applications (Paperback, Softcover reprint of hardcover 1st ed. 2008)
Kyriaki Kosmidou, Michael Doumpos, Constantin Zopounidis
R2,810 Discovery Miles 28 100 Ships in 10 - 15 working days

Financial globalization has increased the significance of methods used in the evaluation of country risk, one of the major research topics in economics and finance. Written by experts in the fields of multicriteria methodology, credit risk assessment, operations research, and financial management, this book develops a comprehensive framework for evaluating models based on several classification techniques that emerge from different theoretical directions. This book compares different statistical and data mining techniques, noting the advantages of each method, and introduces new multicriteria methodologies that are important to country risk modeling.

Key topics include: (1) A review of country risk definitions and an overview of the most recent tools in country risk management, (2) In-depth analysis of statistical, econometric and non-parametric classification techniques, (3) Several real-world applications of the methodologies described throughout the text, (4) Future research directions for country risk assessment problems.

This work is a useful toolkit for economists, financial managers, bank managers, operations researchers, management scientists, and risk analysts. Moreover, the book can also be used as a supplementary text for graduate courses in finance and financial risk management.

Goal Programming Techniques for Bank Asset Liability Management (Paperback, Softcover reprint of the original 1st ed. 2004):... Goal Programming Techniques for Bank Asset Liability Management (Paperback, Softcover reprint of the original 1st ed. 2004)
Kyriaki Kosmidou, Constantin Zopounidis
R2,803 Discovery Miles 28 030 Ships in 10 - 15 working days

Other publications that exist on this topic, are mainly focused on the general aspects and methodologies of the field and do not refer extensively to bank ALM. On the other hand the existing books on goal programming techniques do not involve the ALM problem and more specifically the bank ALM one. Therefore, there is a lack in the existing literature of a comprehensive text book that combines both the concepts of bank ALM and goal programming techniques and illustrates the contribution of goal programming techniques to bank ALM. This is the major contributing feature of this book and its distinguishing characteristic as opposed to the existing literature.

This volume would be suitable for academics and practitioners in operations research, management scientists, financial managers, bank managers, economists and risk analysts. The book can also be used as a textbook for graduate courses of asset liability management, financial risk management and banking risks.

Country Risk Evaluation - Methods and Applications (Hardcover, 2008 ed.): Kyriaki Kosmidou, Michael Doumpos, Constantin... Country Risk Evaluation - Methods and Applications (Hardcover, 2008 ed.)
Kyriaki Kosmidou, Michael Doumpos, Constantin Zopounidis
R2,853 Discovery Miles 28 530 Ships in 10 - 15 working days

Financial globalization has increased the significance of methods used in the evaluation of country risk, one of the major research topics in economics and finance. Written by experts in the fields of multicriteria methodology, credit risk assessment, operations research, and financial management, this book develops a comprehensive framework for evaluating models based on several classification techniques that emerge from different theoretical directions. This book compares different statistical and data mining techniques, noting the advantages of each method, and introduces new multicriteria methodologies that are important to country risk modeling. Key topics include: (1) A review of country risk definitions and an overview of the most recent tools in country risk management, (2) In-depth analysis of statistical, econometric and non-parametric classification techniques, (3) Several real-world applications of the methodologies described throughout the text, (4) Future research directions for country risk assessment problems. This work is a useful toolkit for economists, financial managers, bank managers, operations researchers, management scientists, and risk analysts. Moreover, the book can also be used as a supplementary text for graduate courses in finance and financial risk management.

New Trends in Bank Efficiency (Hardcover): Kyriaki Kosmidou, Constantin Zopounidis New Trends in Bank Efficiency (Hardcover)
Kyriaki Kosmidou, Constantin Zopounidis
R4,034 Discovery Miles 40 340 Ships in 12 - 17 working days

The recent financial crisis and the rapid changes in the economic and technological environment have highlighted the need for further reinforcement of the financial sector. Banks have been forced to be competitive and to implement risk assessment and management systems. Due to the competitive financial environment that has been developed, the principles of the Second Banking Directive, have provided equal competitive conditions for all European banking institutions, and lead us to the principles of Basel III. Moreover, new banking products and techniques are developed to accommodate increased customer needs. The establishment of these new products requires the implementation of innovative processes for their efficient management. There is plenty of research about bank efficiency and especially with the methodological tools that can be used to improve performance of the banking sector. Therefore, the purpose of this edited volume is to contribute to the understanding of issues dealing with new trends in bank efficiency during the years of financial crisis, covering a range of banking problems, such as bank performance, efficiency, profitability, credit risk and stress testing.

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