000 | 01153nam a2200265Ia 4500 | ||
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000 | nam a22 7a 4500 | ||
003 | SMV | ||
005 | 20210318010226.0 | ||
008 | 210318b ||||| |||| 00| 0 spa d | ||
020 | _a0-7506-4732-9 | ||
040 | _cSMV | ||
041 | _hspa | ||
050 | _aHG/1616.I5/H87/2000 | ||
100 | _aHussain, Amanat | ||
245 | 0 | _aManaging operational risk in financial markets | |
260 | _aOxford | ||
260 | _bButterworth Heinemann | ||
260 | _c2000 | ||
300 | _a271 p. | ||
505 | _aContiene: 1. Introduction.- 2. FInancial losses over the past few years .- 3. requirement for risk management.- 4. Introduction to derivatives.- 5. Operational risk survey carried out for this book.- 6. RIsk spectrum.- 7. Managing operational risk.- 8. Business process reengineering.- 9. The learning organziation.- 10. Change management.- 11. New role for operations.- 12. Enterprise wide risk management.- 13. Project management for an enterprise wide risk management system.- 14. Operational risk model.- 15. Conclusions. | ||
650 | _aGestión de riesgos | ||
942 | _2lcc | ||
942 | _cLibros | ||
942 | _hHG/1616.I5/H87/2000 | ||
999 |
_c4776 _d4776 |