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Understanding Risk: The Theory and Practice of Financial Risk Management - Chapman and Hall / CRC Financial Mathematics Series 1. wydanie
Murphy, David (Rivast Consulting, London, UK)
Understanding Risk: The Theory and Practice of Financial Risk Management - Chapman and Hall / CRC Financial Mathematics Series 1. wydanie
Murphy, David (Rivast Consulting, London, UK)
Risk management combines considerable quantitative skills with practical and intuitive competencies. Presenting both mathematical aspects and practical skills, this book introduces the foundations of risk management and shows how these concepts are used to create practical risk management systems.
470 pages
Media | Książki Hardcover Book (Książka z twardym grzbietem i okładką) |
Wydane | 2 sierpnia 2017 |
ISBN13 | 9781138426252 |
Wydawcy | Taylor & Francis Ltd |
Strony | 470 |
Wymiary | 262 × 186 × 43 mm · 1 kg |
Język | English |
Redaktor serii | Cont, Rama (Columbia University, New York, USA) |
Redaktor serii | Dempster, M.A.H. (Cambridge Systems Associates Limited, UK) |
Redaktor serii | Madan, Dilip B. (University of Maryland, College Park, USA University of Maryland, College Park, USA) |