Quantitative Risk Management
33
%
2040 Kč 3 039 Kč
Zboží skladem, ihned k odeslaní
Pokud objednám nyní, kdy zboží dostanu
Sleva až 70% u třetiny knih
This book provides a comprehensive treatment of the theoretical concepts and modelling techniques of quantitative risk management and equips readers - whether financial risk analysts, actuaries, regulators, or students of quantitative finance - with practical tools to solve real-world problems.
Autor: | McNeil, Alexander J. |
Nakladatel: | Princeton University Press |
ISBN: | 9780691166278 |
Rok vydání: | 2015 |
Jazyk : | Angličtina |
Vazba: | Hardback |
Počet stran: | 720 |
Mohlo by se vám také líbit..
-
Fish Ecology, Evolution, and Exploit...
Andersen, Ken H.
-
The Solitary Bees
Danforth, Bryan N.; Minckley, Robert L.; Neff, John L.; Fawcett, Frances
-
How Behavior Spreads
Centola, Damon
-
Philosophical Logic
Burgess, John
-
Perpetual Euphoria
Pascal Bruckner
-
Sharks of the World
Dando, Marc; Ebert, David A.; Fowler, Sarah
-
Gulls of Europe, North Africa, and th...
Adriaens, Peter
-
The 5 Elements of Effective Thinking
Edward B. Burger
-
The Origins and History of Consciousness
Neumann Erich
-
Meaning in Life and Why It Matters
Wolfson, Susan J.
-
Secular Cycles
Turchin, Peter
-
How to Win an Election
Cicero, Quintus T.
-
Cannibal Island
Nicolas Werth
-
The Fate of Rome
Harper, Kyle
-
String Theory in a Nutshell
Kiritsis, Elias
-
Britain\'s Orchids
Cole, Sean; Waller, Mike