Fr. 52.50

The Value at Risk (VAR) in the banking system

English, German · Paperback / Softback

Shipping usually within 2 to 3 weeks (title will be printed to order)

Description

Read more

This book presents a clear and concise introduction to economists. A book is often one of the most useful but also one of the most difficult of the required subject. The purpose of this book is to help overcome this difficulty by using a problem-solving approach. It includes the market risk by theoretical and practical problems with detailed, step-by-step solutions. The problems are solved by implementing the valuable statistical methods and econometric modeling. The book is aimed at economist working in the financial institutions. It is useful for students, bankers and researchers who are engaged in market instruments.

About the author










Jeyhun AbbasovPhd candidate, Institute forScientific Research on Economic Reforms of theMinistry of Economic Development of Azerbaijan. Was born in 1981 in Tovuz, Azerbaijan. At present he is an economist in Central Bank of Azerbaijan. He is an author of some scientific papers. He is married and has a daughter.

Product details

Authors Jeyhun Abbasov
Publisher LAP Lambert Academic Publishing
 
Languages English, German
Product format Paperback / Softback
Released 01.01.2013
 
EAN 9783659381959
ISBN 978-3-659-38195-9
No. of pages 60
Subject Guides > Law, job, finance > Money, bank, stock market

Customer reviews

No reviews have been written for this item yet. Write the first review and be helpful to other users when they decide on a purchase.

Write a review

Thumbs up or thumbs down? Write your own review.

For messages to CeDe.ch please use the contact form.

The input fields marked * are obligatory

By submitting this form you agree to our data privacy statement.