Offering a market--oriented approach enabling the reader to understand the subject in a broader context, this book covers up--to--date topics such as value at risk and credit risk. Presented in a mathematically--friendly tone, the material provides an accessible introduction to risk management and derivatives.
- Limba : Engleza
- Data Publicarii : 24 Apr 2001
- Format : Paperback
- Numar pagini : 798
- ISBN : 9780471495840