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In this 2002 book some of the leading figures in risk management examine the complex issues governing the stability of the global financial system. Chapters present a mix of theory and practice, from axiomatics, measurement and extreme value theory to operational, credit and market risk. Essential reading for all involved in financial risk management.
- Format: Inbunden
- ISBN: 9780521781800
- Språk: Engelska
- Antal sidor: 290
- Utgivningsdatum: 2002-01-10
- Förlag: Cambridge University Press