Alternative Risk Transfer(1st Edition) Integrated Risk Management through Insurance, Reinsurance, and the Capital Markets by ErikBanks Hardcover, 238 Pages, Published 2004 by Wiley ISBN-13: 978-0-470-85745-8, ISBN: 0-470-85745-5
"The Alternative Risk Transfer (ART) market has expanded in recent years to become a vital source of risk solutions and risk capacity and an important mechanism for the creation of integrated corporate risk management programs. The ART market unites the risk management and product development skills of financial institutions, insurers and reinsurers with the capital of global investors to give corporate risk managers the best possi ..."
Catastrophic Risk(1st Edition) Analysis and Management by ErikBanks Hardcover, 194 Pages, Published 2005 by Wiley ISBN-13: 978-0-470-01236-9, ISBN: 0-470-01236-6
"Catastrophic risk is one of the most significant and challenging areas of corporate risk management. Analyze this risk for your company with Catastrophic Risk and make sure you have sufficient resources to absorb losses and avoid financial distress. The first comprehensive volume to address this topic from a financial perspective, this book is a guide to the worst financial risks threatening companies and industries today. Author Eric ..."
The Simple Rules of Risk(1st Edition) Revisiting the Art of Financial Risk Management (The Wiley Finance Series) by ErikBanks Hardcover, 156 Pages, Published 2002 by Wiley ISBN-13: 978-0-470-84774-9, ISBN: 0-470-84774-3
"In an age where companies and financial institutions are keenly focused on managing the financial risk of their operations, the implementation of quantitative methods and models has been of tremendous help. Tools such as VaR, credit VaR, risk-adjusted returns, and scenario analyses have given institutions the means to quantify and understand their risk profiles. However, the focus on quantitative risk management, while important, can so ..."
Finance(3rd Edition) The Basics by ErikBanks Paperback, 322 Pages, Published 2015 by Routledge ISBN-13: 978-1-138-91978-5, ISBN: 1-138-91978-0
"Now in its third edition, Finance: The Basics is a clear and practical introduction to the world of finance. It thoroughly explains essential financial statements, tools and concepts; fundamental financial instruments and transactions; and global financial participants, markets and systems. This fully revised third edition captures the most important aspects of a changing financial landscape, including: • Updates on key areas of the fi ..."
E-Finance(1st Edition) The Electronic Revolution in Financial Services by ErikBanks Hardcover, 220 Pages, Published 2001 by Wiley ISBN-13: 978-0-471-56026-5, ISBN: 0-471-56026-X
"Digital finance is the latest hot topic as financial institutions grapple with the impact of e–commerce. Electronic trading, managing e–commerce risk, B2B exchanges, e–brokers, Alternative Trading Systems (ATS) are all bringing opportunities and challenges to the financial sector. eFinance examines all these areas and provides a readable, non–technical overview of this dynamic sector. The book takes a look at the development of e–comme ..."
Finance(2nd Edition) The Basics by ErikBanks Paperback, 296 Pages, Published 2010 by Routledge ISBN-13: 978-0-415-57336-8, ISBN: 0-415-57336-X
"Authoritative yet accessible, this text is ideal for first year undergraduates with no previous exposure to financial concepts, as well as those looking for simple yet comprehensive explanations of the primary elements of the topic."
Credit Derivatives(1st Edition) Techniques to Manage Credit Risk for Financial Professionals (McGraw-Hill Financial Education Series) by Paul Siegel, ErikBanks, Morton Glantz Hardcover, 304 Pages, Published 2006 by Mcgraw-Hill ISBN-13: 978-0-07-145314-1, ISBN: 0-07-145314-8
"“The Arbitrage Pricing Theory Approach to Strategic Portfolio Planning.” Financial
Analysts Journal, May-June 1984. Rutter, J., “Cutting Edge Credit,” Global
Investor, April 2002, p. 28. Smithson, C., 1999, Financial Risk Management, 3rd
Edition, New Jersey: Irwin. Specht, B., “Synthetic Securitization Enters Next
Generation,” Euromoney, February 2001, p. 28. Tavakoli, J., 2001, Credit
Derivatives and Synthetic Structures, 2nd edit ..."
Risk Culture A Practical Guide to Building and Strengthening the Fabric of Risk Management by ErikBanks Hardcover, 192 Pages, Published 2012 by Palgrave Macmillan ISBN-13: 978-1-137-26371-1, ISBN: 1-137-26371-7
"Risk, or the uncertainty regarding a future event or outcome, characterizes much of what banks, industrial corporations, and governmental agencies must deal with on a daily basis. Indeed, failure to recognize, quantify and manage risk can lead to sometimes significant problems. The very fact that risk exists and has the possibility of creating negative results necessarily means that it has to be actively managed. And, while the quantita ..."
"The Palgrave Macmillan Dictionary of Finance, Investment and Banking helps you understand and use financial language with more ease and confidence. Compiled by a finance professional with real-world experience on three continents, it is a highly practical reference book containing the essential terminology of today's international financial marketplace. It gives concise and clear definitions of well over 5,000 terms commonly used in the ..."
Synthetic and Structured Assets(1st Edition) A Practical Guide to Investment and Risk by ErikBanks Hardcover, 280 Pages, Published 2006 by Wiley ISBN-13: 978-0-470-01713-5, ISBN: 0-470-01713-9
"Organized along product lines, the book will analyze many of the original classes of structured assets, including mortgage- and asset-backed securities and strips, as well as the newest structured and synthetic instruments, including exchange-traded funds, credit derivative-based collateralized debt obligations, total return swaps, contingent convertibles, and insurance-linked securities. Two introductory chapters will outline the scop ..."
Finance(Updated) The Basics by ErikBanks Paperback, 264 Pages, Published 2006 by Routledge ISBN-13: 978-0-415-38463-6, ISBN: 0-415-38463-X
"A clear, jargon-free introduction to a complex and demanding subject, "Finance: The Basics" is the ultimate guide for those encountering this broad topic for the first time. With particular focus on the practical dimension of financial tools, instruments and markets, this user-friendly text provides the reader with a solid working knowledge of the key drivers of the financial marketplace, ensuring that the concepts learnt can be easily ..."
The Failure of Wall Street(1st Edition) How and Why Wall Street Fails -- And What Can Be Done About It by ErikBanks Hardcover, 304 Pages, Published 2004 by St. Martin's Press ISBN-13: 978-1-4039-6402-1, ISBN: 1-4039-6402-5
"Wall Street, the world's primary financial market and middleman, is in many ways a success. It brings together and places capital, creates new and innovative financial products, and buys and sells physical and financial assets. Its role in global economic growth has been, and remains, unique and vital. In spite of its importance and strengths, however, Wall Street repeatedly fails. At all levels, Wall Street makes serious mistakes in it ..."
Working the Street(1st Edition) What You Need to Know About Life on Wall Street by ErikBanks Hardcover, 161 Pages, Published 2004 by Palgrave Macmillan ISBN-13: 978-1-4039-6377-2, ISBN: 1-4039-6377-0
"Written by a former Managing Director at Merrill Lynch, Working the Street is the resource for readers hoping to build a successful career on Wall Street. It is not a "how-to" career book or a job guide. It doesn't tell the reader who to contact for a job or what classes to take to prepare for a career in banking, and it is not a book about the technical "nuts and bolts" of Wall Street. What this book does tell the reader is about some ..."
Practical Risk Management(1st Edition) An Executive Guide to Avoiding Surprises and Losses (The Wiley Finance Series) by ErikBanks, Richard Dunn Hardcover, 176 Pages, Published 2003 by Wiley ISBN-13: 978-0-470-84967-5, ISBN: 0-470-84967-3
"Practical Risk Management: An Executive Guide to Avoiding Surprises and Losses is a concise, yet thorough, look at the world of financial risk management. The book is written by two senior banking professionals who have managed business and state- of-the-art financial risk in large and complex financial organisations, and who have also been in the middle of some of the most creative developments and turbulent times that the financial ma ..."
Complex Derivatives(1st Edition) Understanding and Managing the Risks of Exotic Options, Complex Swaps, Warrants, and Other Synthetic Derivatives by ErikBanks, Complex Derivatives Hardcover, 300 Pages, Published 1993 by Mcgraw-Hill ISBN-13: 978-1-55738-550-5, ISBN: 1-55738-550-5
"This book provides the tools to measure the risks and benefits of this new generation of high-tech products. For financial market professionals who must stay abreast of the latest advances in financial technology, this book is a must read. Specific products examined include: Equity derivatives; Differential swaps; Mortgage swaps; Various option spreads; Warrants."
"Abken, P, Interest Rate Caps, Collars, and Floors, Federal Reserve Bank of
Atlanta Economic Review, November–December 1989, pp 3–23 Andersen, T,
Euromarket Instruments, New York: New York Institute of Finance (1990)
Andersen, T and R Hasan, Interest Rate Risk Management, London: IFR
Publishing (1989) Antl, B, editor, Swap Finance, Volume 1, London: Euromoney
Publications (1986) Antl, B, editor, Swap Finance, Volume 2, London: Eurom ..."
Finance(3rd Edition) The Basics by ErikBanks Hardcover, 322 Pages, Published 2015 by Routledge ISBN-13: 978-1-138-91976-1, ISBN: 1-138-91976-4
"Now in its third edition, Finance: The Basics is a clear and practical introduction to the world of finance. It thoroughly explains essential financial statements, tools and concepts; fundamental financial instruments and transactions; and global financial participants, markets and systems. This fully revised third edition captures the most important aspects of a changing financial landscape, including: • Updates on key areas of the fi ..."
Finance The Basics by ErikBanks 322 Pages, Published 2015 by Routledge ISBN-13: 978-1-317-41884-9, ISBN: 1-317-41884-0
"Higgins, R., 2011, Analysis for Financial Management, 10th edn., New York:
McGraw-Hill. Horngren, C., Harrison, W., and Oliver, S., 2011, Accounting, 9th
edn., Upper Saddle River, NJ: Prentice Hall. Hubbard, G. and O«Brien, A., 2011,
Money, Banking and the Financial System, Upper Saddle River, NJ: Prentice Hall
. Hull, J., 2014, Options, Futures ... and Whidbee, D. A., 2011, Financial
Institutions, Markets, and Money, 11th edn., New ..."
Global Financial Markets Ser. Dark Pools : Off-Exchange Liquidity in an Era of High Frequency, Program, and Algorithmic Trading by ErikBanks 261 Pages, Published 2014 by Springer ISBN-13: 978-1-137-44957-3, ISBN: 1-137-44957-8
"Throughout this book we have discussed the micro and macro issues of the dark
pool sector by reflecting a bit on history, development, evolution, structure,
practice, and architecture. In this concluding chapter we will look ahead,
speculating ..."