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Scenario Analysis in Risk Management: Theory and Practice in Finance Bertrand K. Hassani Softcover reprint of the original 1st ed. 2016 edition
Scenario Analysis in Risk Management: Theory and Practice in Finance
Bertrand K. Hassani
This book focuses on identifying and explaining the key determinants of scenario analysis in the context of operational risk, stress testing and systemic risk, as well as management and planning.
162 pages, 20 Illustrations, color; 14 Illustrations, black and white; XIII, 162 p. 34 illus., 20 il
| Mediji | Grāmatas Paperback Book (Grāmata ar mīksto vāku un līmēto muguru) |
| Izlaists | 2018. gada 23. jūnijs |
| ISBN13 | 9783319797274 |
| Izdevēji | Springer International Publishing AG |
| Lapas | 162 |
| Izmēri | 150 × 220 × 10 mm · 258 g |
| Valoda | Vācu |