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Quantitative Risk Management

Jezik EngleskiEngleski
Knjiga Tvrdi uvez
Knjiga Quantitative Risk Management Alexander J. McNeil
Libristo kod: 09076694
Nakladnici Princeton University Press, svibanj 2015
This book provides the most comprehensive treatment of the theoretical concepts and modelling techni... Cijeli opis
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This book provides the most comprehensive treatment of the theoretical concepts and modelling techniques of quantitative risk management. Whether you are a financial risk analyst, actuary, regulator or student of quantitative finance, Quantitative Risk Management gives you the practical tools you need to solve real-world problems. Describing the latest advances in the field, Quantitative Risk Management covers the methods for market, credit and operational risk modelling. It places standard industry approaches on a more formal footing and explores key concepts such as loss distributions, risk measures and risk aggregation and allocation principles. The book's methodology draws on diverse quantitative disciplines, from mathematical finance and statistics to econometrics and actuarial mathematics. A primary theme throughout is the need to satisfactorily address extreme outcomes and the dependence of key risk drivers. Proven in the classroom, the book also covers advanced topics like credit derivatives. Fully revised and expanded to reflect developments in the field since the financial crisis Features shorter chapters to facilitate teaching and learning Provides enhanced coverage of Solvency II and insurance risk management and extended treatment of credit risk, including counterparty credit risk and CDO pricing Includes a new chapter on market risk and new material on risk measures and risk aggregation

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Informacije o knjizi

Puni naziv Quantitative Risk Management
Jezik Engleski
Uvez Knjiga - Tvrdi uvez
Datum izdanja 2015
Broj stranica 720
EAN 9780691166278
ISBN 9780691166278
Libristo kod 09076694
Težina 1636
Dimenzije 262 x 188 x 46
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