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Mathematics and Statistics for Financial Risk Management
by
Miller, Michael B
in
Finanzmathematik
/ Portfolio-Management
/ Risk management -- Mathematical models
/ Risk management -- Statistical methods
/ Statistische Methode
/ Theorie
/ Ökonometrie
2014
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Do you wish to request the book?
Mathematics and Statistics for Financial Risk Management
by
Miller, Michael B
in
Finanzmathematik
/ Portfolio-Management
/ Risk management -- Mathematical models
/ Risk management -- Statistical methods
/ Statistische Methode
/ Theorie
/ Ökonometrie
2014
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Publication
Mathematics and Statistics for Financial Risk Management
2014
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Overview
Mathematics and Statistics for Financial Risk Management is a practical guide to modern financial risk management for both practitioners and academics. Now in its second edition with more topics, more sample problems and more real world examples, this popular guide to financial risk management introduces readers to practical quantitative techniques for analyzing and managing financial risk. In a concise and easy-to-read style, each chapter introduces a different topic in mathematics or statistics. As different techniques are introduced, sample problems and application sections demonstrate how these techniques can be applied to actual risk management problems. Exercises at the end of each chapter and the accompanying solutions at the end of the book allow readers to practice the techniques they are learning and monitor their progress. A companion Web site includes interactive Excel spreadsheet examples and templates. Mathematics and Statistics for Financial Risk Management is an indispensable reference for today's financial risk professional.
Publisher
John Wiley & Sons, Incorporated
Subject
ISBN
9781118757550, 1118757556
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