Modeling Risk - Applying Monte Carlo Risk Simulation, Strategic Real Options, Stochastic Forecasting, and Portfolio Optimization (Electronic book text, 2nd Revised edition)


An updated guide to risk analysis and modeling

Although risk was once seen as something that was both unpredictable and uncontrollable, the evolution of risk analysis tools and theories has changed the way we look at this important business element. In the "Second Edition" of "Analyzing and Modeling Risk, " expert Dr. Johnathan Mun provides up-to-date coverage of risk analysis as it is applied within the realms of business risk analysis and offers an intuitive feel of what risk looks like, as well as the different ways of quantifying it.

This "Second Edition" provides professionals in all industries a more comprehensive guide on such key concepts as risk and return, the fundamentals of model building, Monte Carlo simulation, forecasting, time-series and regression analysis, optimization, real options, and more.Includes new examples, questions, and exercises as well as updates using Excel 2007Book supported by author's proprietary risk analysis software found on the companion CD-ROMOffers both a qualitative and quantitative description of risk

Filled with in-depth insights and practical advice, this reliable resource covers all of the essential tools and techniques that risk managers need to successfully conduct risk analysis.

Note: CD-ROM/DVD and other supplementary materials are not included as part of eBook file.


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Product Description

An updated guide to risk analysis and modeling

Although risk was once seen as something that was both unpredictable and uncontrollable, the evolution of risk analysis tools and theories has changed the way we look at this important business element. In the "Second Edition" of "Analyzing and Modeling Risk, " expert Dr. Johnathan Mun provides up-to-date coverage of risk analysis as it is applied within the realms of business risk analysis and offers an intuitive feel of what risk looks like, as well as the different ways of quantifying it.

This "Second Edition" provides professionals in all industries a more comprehensive guide on such key concepts as risk and return, the fundamentals of model building, Monte Carlo simulation, forecasting, time-series and regression analysis, optimization, real options, and more.Includes new examples, questions, and exercises as well as updates using Excel 2007Book supported by author's proprietary risk analysis software found on the companion CD-ROMOffers both a qualitative and quantitative description of risk

Filled with in-depth insights and practical advice, this reliable resource covers all of the essential tools and techniques that risk managers need to successfully conduct risk analysis.

Note: CD-ROM/DVD and other supplementary materials are not included as part of eBook file.

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Product Details

General

Imprint

John Wiley & Sons

Country of origin

United States

Series

Wiley Finance, 580

Release date

June 2010

Availability

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First published

2010

Authors

Format

Electronic book text

Pages

976

Edition

2nd Revised edition

ISBN-13

978-0-470-62000-7

Barcode

9780470620007

Categories

LSN

0-470-62000-5



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