Mastering Risk: Volume 2 - Applications: Your Single-Source Guide to Becoming a Master of Risk
Released: Oct 02, 2001
Publisher: Financial Times Management
Format: Paperback, 0 pages
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Description:
This work examines the latest methods for modeling, measuring, and managing market, credit, and operational risks. Chapters are written at an advanced level that assumes familiarity with the subject. Contributors are academics, professionals, and researchers in risk management, operations research, financial services, and mathematical finance. Alexander is professor of finance and chair of risk management at the University of Reading, UK. Annotation c. Book News, Inc., Portland, OR (booknews.com)
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