Mathematics and statistics for financial risk management / Michael B. Miller.
Material type: TextSeries: Wiley finance seriesPublisher: Hoboken, New Jersey : John Wiley & Sons, 2014Edition: 2nd editionDescription: xiii, 317 pagesContent type: text Media type: unmediated Carrier type: volumeISBN: 9781118750292 (hbk.) :Subject(s): Risk management -- Mathematical models | Risk management -- Statistical methodsDDC classification: 332'.015195 Summary: This is a practical guide to modern financial risk management for both practitioners and academics. The recent financial crisis and its impact on the broader economy underscore the importance of financial risk management in today's world.Item type | Current library | Home library | Shelving location | Class number | Status | Date due | Barcode | Item reservations | |
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Book | Paul Hamlyn Library | Paul Hamlyn Library | Floor 1 | 332.015195 MIL (Browse shelf(Opens below)) | Available | 05430267 | |||
Book | Paul Hamlyn Library | Paul Hamlyn Library | Floor 1 | 332.015195 MIL (Browse shelf(Opens below)) | Available | 05876656 |
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Previous edition: 2012.
Includes bibliographical references and index.
This is a practical guide to modern financial risk management for both practitioners and academics. The recent financial crisis and its impact on the broader economy underscore the importance of financial risk management in today's world.
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