Real Option Analysis Third Edition

Real Option Analysis Third Edition

Modeling Risk Third Edition

Modeling Risk Third Edition

Advanced Analytical Models Second Edition

Advanced Analytical Models Second Edition

Credit Engineering for Bankers, Second Edition

Credit Engineering for Bankers, Second Edition

The Banker’s Handbook on Credit Risk

The Banker’s Handbook on Credit Risk

Readings in Certified Quantitative Risk Management (CQRM)

Readings in Certified Quantitative Risk Management (CQRM)

Case Studies in Certified Quantitative Risk Manage

Case Studies in Certified Quantitative Risk Manage

Risk Simulator User Manual

Risk Simulator User Manual

Project Economics Analysis Tool (PEAT)

Project Economics Analysis Tool (PEAT)

Real Options SLS User Manual

Real Options SLS User Manual

Modeling Risk

Modeling Risk

Real Options Analysis, 2nd Edition

Real Options Analysis, 2nd Edition

Advance Analytical Model

Advance Analytical Model

Valuing Employee Stock Options

Valuing Employee Stock Options

Applying Monte Carlo Simulation, Real Options Analysis, Stochastic Forecasting, and Optimization

Applying Monte Carlo Simulation, Real Options Analysis, Stochastic Forecasting, and Optimization

Applied Risk

Applied Risk

Real Options Analysis Course

Real Options Analysis Course

Real Options Analysis: Tools and Techniques for Valuing Strategic Investments & Decisions

Real Options Analysis: Tools and Techniques for Valuing Strategic Investments & Decisions

Modelación de Riesgos (Tercera Edición)

Modelación de Riesgos (Tercera Edición)

Faith Journey

Faith Journey

Risk Simulator (Simulador de Riesgo)

Risk Simulator (Simulador de Riesgo)

Managing Your Finances God’s Way

Managing Your Finances God’s Way

Súper Enrejado Solucionador de Real Options

Súper Enrejado Solucionador de Real Options

What Is So Real About Real Options, and Why Are They Optional?

What Is So Real About Real Options, and Why Are They Optional?

BOOKS BY DR. JOHNATHAN MUN

Our founder and CEO is a world-renowned expert in the fields of real options analysis, options valuation, and simulation applications, and has written numerous articles and books on those and related subjects. Following is a sampling of his books that are pertinent to the software, consulting, training, and services provided by Real Options Valuation, Inc.

銀行家信用風險手冊:實施巴塞爾協議II

The Banker's Handbook on Credit Risk

“銀行家信用風險手冊”顯示,如何逐步遵守“巴塞爾協議II”的信用風險規定,以信用風險為基礎,以信用風險為先導。這種高級信用/風險管理書採用了“新工具”方法來實施“巴塞爾協議II”。本書涵蓋的實際應用範圍廣泛,包括巴塞爾II銀行風險要求(信用風險,信用利差,違約風險,風險價值,市場風險等)和財務分析(異域期權和估值) ,風險分析(隨機預測,基於風險的蒙特卡羅模擬,投資組合優化)和實際期權分析(戰略選擇和決策分析)。本書面向銀行從業人員和金融分析師,他們需要算法,示例,模型和見解來解決更先進甚至深奧的問題。
該書附帶了一張DVD,其中包含示例建模視頻,案例研究和軟件應用程序,以幫助讀者立即開始使用。包括的各種試用軟件應用程序允許讀者快速訪問大約670個建模功能,250個分析模型模板和強大的基於風險的仿真軟件,以幫助理解和學習本書所涵蓋的概念,並且使用嵌入式功能和算法在自己的模型中。此外,讀者可以快速開始運行基於風險的蒙特卡羅模擬,運行先進的預測方法,並在各種情況下進行優化,以及結構化和解決定制的實際期權和金融期權問題。

銀行家信用風險手冊

  • 只能預訂銀行家一步一步地了解如何遵守“巴塞爾協議II”的信用風險規定
  • 包含在本書附帶的DVD上的150多個動手軟件應用程序,包括樣品建模視頻
  • 提供所有最新的定量工具