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Risk Analysis and Portfolio Modelling David Allen
Risk Analysis and Portfolio Modelling
David Allen
Financial Risk Measurement is a challenging task, because both the types of risk and the techniques evolve very quickly. This book collects a number of novel contributions to the measurement of financial risk, which address either non-fully explored risks or risk takers, and does so in a wide variety of empirical contexts.
| Mediji | Grāmatas Paperback Book (Grāmata ar mīksto vāku un līmēto muguru) |
| Izlaists | 2019. gada 16. oktobris |
| ISBN13 | 9783039216246 |
| Izdevēji | Mdpi AG |
| Lapas | 224 |
| Izmēri | 170 × 244 × 15 mm · 485 g |
| Valoda | Angļu |
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