Fr. 189.00

Quantitative Financial Risk Management

English · Paperback / Softback

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Description

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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.

Summary

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.

Product details

Assisted by Deshen Dash Wu (Editor), Desheng Dash Wu (Editor), Desheng D. Wu (Editor), Desheng Dash Wu (Editor)
Publisher Springer, Berlin
 
Languages English
Product format Paperback / Softback
Released 09.08.2013
 
EAN 9783642268908
ISBN 978-3-642-26890-8
No. of pages 338
Dimensions 154 mm x 21 mm x 236 mm
Weight 528 g
Illustrations X, 338 p.
Series Computational Risk Management
Computational Risk Management
Subjects Social sciences, law, business > Business > General, dictionaries

Operations Research, C, Business and Management, macroeconomics, Operations Research/Decision Theory, Operations Research and Decision Theory, Macroeconomics and Monetary Economics, Macroeconomics/Monetary Economics//Financial Economics, Monetary Economics, Management decision making, Management science, Decision Making

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