"Financial Risk Management" covers the strategies, principles, and
measurement techniques necessary to measure and manage financial
risk. With a focus on management perspective, this book explores
real-world issues such as model validation, risk measurement,
valuation methodologies, and much more. Self-contained Excel
spreadsheets are included on the companion CD-ROM.
|Country of origin:
||Wiley Finance, 119
Steve L Allen
||Electronic book text
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