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Applied Quantitative Finance

178,40 €

This book is a one-stop-shop reference for risk management practitioners involved in the validation of risk models. It is a comprehensive manual about the tools, techniques and processes to be followed, focused on all the models that are relevant in the capital requirements and supervisory review of large international banks.

Kirjailija
S. Scandizzo
ISBN
9781137436962
Kieli
englanti
Julkaisupäivä
1.7.2016