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Market Risk Analysis, Quantitative Methods in Finance

Parametre

Počet strán
320 stránok
Čas čítania
12 hodin

Viac o knihe

Focusing on the foundational concepts of financial risk management, this book serves as an introductory guide for aspiring financial risk managers and asset managers. It is designed for readers with a moderate understanding of high school-level mathematics, emphasizing conceptual understanding over mathematical rigor. Unique in its approach, it covers both continuous and discrete time finance, illustrating how these disciplines intersect. This comprehensive guide equips readers with practical tools for immediate application in the finance sector.

Nákup knihy

Market Risk Analysis, Quantitative Methods in Finance, Carol Alexander

Jazyk
Rok vydania
2008
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