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Financial risk management for cryptocurrencies

Financial risk management for cryptocurrencies

자료유형
단행본
개인저자
Van der Auwera, Eline.
서명 / 저자사항
Financial risk management for cryptocurrencies / Eline Van der Auwera ... [et al.].
발행사항
Cham :   Springer,   c2020.  
형태사항
xii, 114 p. : ill. (some col.) ; 24 cm.
총서사항
SpringerBriefs in finance,2193-1720
ISBN
9783030510923
서지주기
Includes bibliographical references and index.
일반주제명
Cryptocurrencies. Financial risk management. Economics, Mathematical.
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020 ▼a 9783030510923
040 ▼a 211009 ▼c 211009 ▼d 211009
082 0 4 ▼a 332.4 ▼2 23
084 ▼a 332.4 ▼2 DDCK
090 ▼a 332.4 ▼b F491
245 0 0 ▼a Financial risk management for cryptocurrencies / ▼c Eline Van der Auwera ... [et al.].
260 ▼a Cham : ▼b Springer, ▼c c2020.
300 ▼a xii, 114 p. : ▼b ill. (some col.) ; ▼c 24 cm.
490 1 ▼a SpringerBriefs in finance, ▼x 2193-1720
504 ▼a Includes bibliographical references and index.
650 0 ▼a Cryptocurrencies.
650 0 ▼a Financial risk management.
650 0 ▼a Economics, Mathematical.
700 1 ▼a Van der Auwera, Eline.
830 0 ▼a SpringerBriefs in finance.
945 ▼a KLPA

소장정보

No. 소장처 청구기호 등록번호 도서상태 반납예정일 예약 서비스
No. 1 소장처 중앙도서관/서고6층/ 청구기호 332.4 F491 등록번호 111845890 도서상태 대출가능 반납예정일 예약 서비스 B M

컨텐츠정보

책소개

This book explores the emerging field of risk management and risk analysis of cryptocurrencies, an area that has been generating considerable research. It begins by providing an introduction to digital finance and the concept of cryptocurrencies and blockchain technologies. It then describes in detail the intrinsic risks involved in cryptocurrencies, an area that, to date, has not been fully documented or investigated. Lastly, it discusses the various types of risk, with a focus on design, operational, market and quantitative risks.

Providing insights into the analysis and management of cryptocurrencies, and serving as a starting point for a more in-depth risk analysis, this book will appeal to professionals and researchers interested in familiarizing themselves with the risks in cryptocurrencies, including academics, portfolio managers, risk-managers, quants, financial professionals, regulators, economists, asset managers and traders.


New feature

This book explores the emerging field of risk management and risk analysis of cryptocurrencies, an area that has been generating considerable research. It begins by providing an introduction to digital finance and the concept of cryptocurrencies and blockchain technologies. It then describes in detail the intrinsic risks involved in cryptocurrencies, an area that, to date, has not been fully documented or investigated. Lastly, it discusses the various types of risk, with a focus on design, operational, market and quantitative risks.

Providing insights into the analysis and management of cryptocurrencies, and serving as a starting point for a more in-depth risk analysis, this book will appeal to professionals and researchers interested in familiarizing themselves with the risks in cryptocurrencies, including academics, portfolio managers, risk-managers, quants, financial professionals, regulators, economists, asset managers and traders.



정보제공 : Aladin

목차

- Part I Introduction to Cryptocurrencies. - Blockchain. - Types of Cryptocurrencies. - Part II Risk in Dealing with Cryptocurrencies. - Qualitative Risks. - Quantitative Risks. - Futures and Options on Cryptocurrencies. - Portfolio Management. - Further Related Work. - Part III Summary and Conclusion. - Conclusion.

관련분야 신착자료

최운열 (2025)