Elements of Financial Risk Management

Christoffersen, Peter F.

Ouvrage indisponible

Éditeur
Academic Press Inc
Pages
214
Parution
septembre 2003
Format
Cartonné
Langue
Anglais
Dimensions
229 × 152 × 23 cm
EAN
9780121742324
  • Résumé

Value-at-Risk has emerged as the standard tool for measuring and reporting financial market risk. This title focuses on risk and real-life risk management systems. It is of interest to practitioners in the financial services and investment industries, as well as graduate students and advanced undergraduates who want exposure to these techniques.
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