Quantitative Financial Risk Management Quantitative Financial Risk Management
Computational Risk Management

Quantitative Financial Risk Management

    • $119.99
    • $119.99

Publisher Description

The bulk of this volume deals with the four main aspects of risk management: market risk, credit risk, risk management - in macro-economy as well as within companies. It presents a number of approaches and case studies directed at applying risk management to diverse business environments. Included are traditional market and credit risk management models such as the Black-Scholes Option Pricing Model, the Vasicek Model, Factor models, CAPM models, GARCH models, KMV models and credit scoring models.

GENRE
Business & Personal Finance
RELEASED
2011
June 25
LANGUAGE
EN
English
LENGTH
348
Pages
PUBLISHER
Springer Berlin Heidelberg
SELLER
Springer Nature B.V.
SIZE
4.1
MB

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