Description: Risk management (RM) is an important subject in financial and nonfinancial sectors. To assess its success, or failure, simulation methods are employed. Simulations and Risk Management in Statistical Finance addresses these subjects, both simultaneously and pedagogically, from a multi-disciplinary perspective (i.e.
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All returns accepted: ReturnsNotAccepted
Item Length: 9.6 in
Item Height: 0.7 in
Item Width: 6.4 in
Author: Hoi Ying Wong, Ngai Hang Chan
Publication Name: Simulation Techniques in Financial Risk Management
Format: Hardcover
Language: English
Subject: Decision-Making & Problem Solving, Probability & Statistics / General
Publisher: Wiley & Sons, Incorporated, John
Series: Statistics in Practice Ser.
Publication Year: 2006
Type: Textbook
Subject Area: Business & Economics, Mathematics
Item Weight: 16.8 Oz
Number of Pages: 240 Pages