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Chapman and Hall/CRC Financial Mathematics Series

279,40 €

Featuring contributions from leading international academics and practitioners, Credit Risk: Models, Derivatives, and Management illustrates how a risk management system can be implemented through an understanding of portfolio credit risks, a set of suitable models, and the derivation of reliable empirical results.

Divided into six sectio

Toimittaja
Niklas Wagner
ISBN
9781040171288
Kieli
englanti
Julkaisupäivä
28.5.2008