Erik Banks
Autore di Finance: The Basics
Sull'Autore
Erik Banks is Senior Risk Advisor for a European universal bank. Over the past 23 years, he has held senior risk positions in the investment banking and hedge fund sector in New York, Tokyo, Hong Kong, London, and Munich. He is the author of more than 20 books on risk, derivatives, emerging mostra altro markets, and governance, including the Failure of Wall Street, (2004), The Palgrave Macmillan Dictionary of Finance, Investment and Banking (2009), Risk and Financial Catastrophe (2009) and Dark Pools (2010). mostra meno
Opere di Erik Banks
Liquidity Risk: Managing Asset and Funding Risks (Finance and Capital Markets Series) (2004) 12 copie
Alternative Risk Transfer: Integrated Risk Management through Insurance, Reinsurance, and the Capital Markets (The… (2004) 9 copie
The Simple Rules of Risk: Revisiting the Art of Financial Risk Management (The Wiley Finance Series) (2002) 5 copie
Credit Derivatives: Techniques to Manage Credit Risk for Financial Professionals (McGraw-Hill Financial Education… (2006) 5 copie
Dark Pools: The Structure and Future of Off-Exchange Trading and Liquidity (Finance and Capital Markets Series) (2010) 5 copie
Financial Lexicon: A Compendium of Financial Definitions, Terminology, Jargon and Slang (Finance and Capital Markets) (2005) 5 copie
The Options Applications Handbook: Hedging and Speculating Techniques for Professional Investors (McGraw-Hill Financial… (2006) 4 copie
Corporate Governance: Financial Responsibility, Ethics and Controls (Finance and Capital Markets) (2004) 2 copie
Volatility and credit risk in the capital markets : assessing and managing financial instrument risk and off-balance… (1993) 1 copia
The Failure of Wall Street : How and Why Wall Street Fails -- And What Can Be Done About It (2004) 1 copia
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Informazioni generali
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Utenti
Statistiche
- Opere
- 21
- Utenti
- 120
- Popolarità
- #165,356
- Voto
- 3.0
- ISBN
- 62