Financial risk forecasting : the theory and practice of forecasting market risk, with implementation in R and Matlab /
| 主要作者: | Daníelsson, Jón |
|---|---|
| 格式: | 图书 |
| 语言: | English |
| 出版: |
Chichester :
John Wiley,
c2011.
|
| 丛编: | Wiley finance series.
|
| 主题: | |
| Classic Catalogue: | View this record in Classic Catalogue |
相似书籍
-
The VaR modeling handbook /
出版: (2009) - Managing financial risks
-
An analysis of financial risk management at Woori Bank
由: Islam, Redwan
出版: (2024) -
Credit risk management
由: Gestel, Tony van - Reorienting retirement risk management