Risk Management and Financial Derivatives

Risk Management and Financial Derivatives A Guide to the Mathematics

Book (01 Apr 1998)

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Publisher's Synopsis

Financial market practitioners cover topics such as the fundamental basis of the application of mathematics to financial markets, in particular the essential risk/reward basis of the value; risk measurement and management including both traditional and nontraditional models of risk; and mathematical techniques underlying featured applications. The

Book information

ISBN: 9780070153783
Publisher: McGraw Hill
Imprint: McGraw Hill
Pub date:
DEWEY: 332.645
DEWEY edition: 21
Language: English
Number of pages: 799
Weight: 1290g
Height: 241mm
Width: 165mm
Spine width: 62mm