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  <titleInfo>
    <title>Risk management and financial institutions</title>
  </titleInfo>
  <name type="personal">
    <namePart>Hull, John C.</namePart>
    <role>
      <roleTerm authority="marcrelator" type="text">creator</roleTerm>
    </role>
  </name>
  <typeOfResource>text</typeOfResource>
  <originInfo>
    <place>
      <placeTerm type="code" authority="marccountry">xxu</placeTerm>
    </place>
    <place>
      <placeTerm type="text">Hoboken</placeTerm>
    </place>
    <dateIssued>2018</dateIssued>
    <publisher>John Wiley and Sons, Inc.</publisher>
    <edition>5th ed.</edition>
    <issuance>monographic</issuance>
  </originInfo>
  <language>
    <languageTerm authority="iso639-2b" type="code">eng</languageTerm>
  </language>
  <physicalDescription>
    <form authority="marcform">print</form>
    <extent>xxiv, 799 p. : ill.;</extent>
  </physicalDescription>
  <tableOfContents>Contents: 1. Introduction --
Part One: Financial institutions and their trading: 2. Banks ; 3. Insurance Companies and Pension Plans ; 4. Mutual Funds and Hedge Funds ; 5. Trading in Financial Markets ; 6. The Credit Crisis of 2007 ; 7. Valuation and scenario analysis: the risk-neutral and real worlds --
Part Two: Market risk: 8. How traders manage their risks ; 9. Interest rate risk ; 10. Volatility ; 11. Correlations and copulas ; 12. Value at risk and expected shortfall ; 13. Historical simulation and extreme value theory ; 14. Model-building approach --
Part Three: Regulation: 15. Basel I, Basel II, and Solvency II ; 16. Basel II.5, Basel III, and other post-crisis changes ; 17. Fundamental review of the trading book --
Part Four: Credit risk: 18. Managing credit risk : margin, OTC markets, and CCPs ; 19. Estimating default probabilities ; 20. CVA and DVA ; 21. Credit value at risk --
Part Five: Other topics: 22. Scenario analysis and stress testing ; 23. Operational risk ; 24. Liquidity risk ; 25. Model risk ; 26. Economic capital and RAROC ; 27. Enterprise risk management ; 28. Risk management mistakes to avoid --
Part Six: Appendices: Appendices --
Answers to Questions and Problems --
Glossary --


</tableOfContents>
  <note type="statement of responsibility">John C. Hull.</note>
  <note>Includes appendices and index.</note>
  <subject>
    <topic>	 Risk management. </topic>
    <topic>Financial institutions -- Management.</topic>
    <topic> Bank</topic>
  </subject>
  <classification authority="lcc">HD61.H83</classification>
  <relatedItem type="series">
    <titleInfo>
      <title>Wiley Financial Series</title>
    </titleInfo>
  </relatedItem>
  <identifier type="isbn">9781119448112</identifier>
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    <recordCreationDate encoding="marc">200129</recordCreationDate>
    <recordChangeDate encoding="iso8601">20210701151052.0</recordChangeDate>
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