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21%OFFConstantin Zopounidis - Quantitative Financial Risk Management: Theory and Practice - 9781118738184 - V9781118738184
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Quantitative Financial Risk Management: Theory and Practice

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Description for Quantitative Financial Risk Management: Theory and Practice Hardcover. Series: Frank J. Fabozzi Series. Num Pages: 448 pages. BIC Classification: KJMV1. Category: (P) Professional & Vocational. Dimension: 166 x 237 x 38. Weight in Grams: 670.

A Comprehensive Guide to Quantitative Financial Risk Management

Written by an international team of experts in the field, Quantitative Financial Risk Management: Theory and Practice provides an invaluable guide to the most recent and innovative research on the topics of financial risk management, portfolio management, credit risk modeling, and worldwide financial markets.

This comprehensive text reviews the tools and concepts of financial management that draw on the practices of economics, accounting, statistics, econometrics, mathematics, stochastic processes, and computer science and technology. Using the information found in Quantitative Financial Risk Management can help professionals to better manage, monitor, and measure risk, especially in today's uncertain ... Read more

Quantitative Financial Risk Management delivers the information, tools, techniques, and most current research in the critical field of risk management. This text offers an essential guide for quantitative analysts, financial professionals, and academic scholars.

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Product Details

Format
Hardback
Publication date
2015
Publisher
John Wiley & Sons Inc
Condition
New
Series
Frank J. Fabozzi Series
Number of Pages
448
Place of Publication
New York, United States
ISBN
9781118738184
SKU
V9781118738184
Shipping Time
Usually ships in 15 to 20 working days
Ref
99-15

About Constantin Zopounidis
CONSTANTIN ZOPOUNIDIS, PHD, is professor of Financial Engineering and Operations Research at Technical University of Crete in Greece and distinguished research professor at Audencia Nantes School of Management in France. EMILIOS GALARIOTIS, PHD (Dunelm), HDR, is professor of Finance at Audencia Nantes School of Management in France. He is the founder and director of the Centre for Financial ... Read more

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