Alexei Sidorenko, Elena Demidenko. Secret Recipe for Risk Managers: Becoming a Valuable Risk ManagerPublisher:
Secret Recipe for Risk Managers is a very practical how-to-guide about risk management. The guide was designed and written by risk management practitioners with years of experience working across Europe and Asia-Pacific. The steps and recommendations provided in the guide are very specific and actionable and are designed to help risk managers raise the risk awareness and buy-in across their organizations. The recommendations provided in the guide are grouped into three core areas: driving risk culture, integrating risk management into business and becoming a trusted risk advisor.
Nathan Hogan. Paper or Plastic: Money Management and Credit Card Education for High School and College StudentsPublisher:
Paying with cash vs. with a credit card, Maintain and manage good credit, How to live within a budget, How credi can effect your life, and Setting financial goals.
Elizabeth A. Patton. The Big Bucks : How to Manage Money Now That You're On Your OwnPublisher:
Book Description Every year approximately 460,000 people under the age of 35 years old declare bankruptcy. In the last decade, loan debt has risen 142% for college students.1 The Big Bucks will explain in clear, conversational language the basics of money management-from credit cards to checking accounts to leases on cars. This is the info students need to know as they head off to college. It's the perfect graduation gift for any student in your church or school!
Kevin Dowd. Beyond Value at Risk: The New Science of Risk ManagementPublisher:John Wiley and Sons, Ltd
Risk management and measurement are now, without doubt, the hottest topics in the finance world. Today, quantifying risk management is not only a management tool ? but is also used by regulators for banks and finance houses. Beyond Value at Risk provides a comprehensive guide to recent developments and existing approaches to VaR and risk management, going beyond traditional approaches to the subject and offering a new, far-reaching perspective on investment, hedging and portfolio decision-making. The key to this distinctive approach is a new decision rule ? the ?Generalised Sharpe Rule, and its practical applications. Beyond Value at Risk provides the answers to key questions, including: How to implement VaR and related systems in the real world; How to make vital investment decisions and estimate their effect; How to make hedging decisions; How to manage a portfolio. It offers financial professionals, academics and students comprehensive...
Stephen S. Solomon, Clifford W. Marshall, Martin Pepper. Mortgage Payments: Barron's Financial Tables for Better Money ManagementPublisher:Barron's Educational Series
Updated to reflect current rates, these quick reference tables show the size of monthly payments necessary to amortize loans on amounts up to $600,000 over periods ranging from one to 40 years across a broad span of interest rates. There is a short-entry glossary of financial terms at the back of the book.