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Market Risk Analysis, Quantitative Methods in Finance

Carol Alexander

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Autorius Carol Alexander
Leidimo metai 2008 year
Puslapių skč. 320 pages
Viršelis Hardcover
ISBN 9780470998007

Market Risk Analysis, Quantitative Methods in Finance

Explore the intricacies of financial risk with "Market Risk Analysis, Quantitative Methods in Finance" by the esteemed Professor Carol Alexander. First published in 2008, this insightful book is a crucial part of a comprehensive four-volume set on market risk analysis. Spanning 320 pages, it delves deep into quantitative methods essential for understanding and managing market risk factors effectively.

Professor Alexander, a leading authority in market risk academia, guides readers through complex concepts such as hedging and risk management. This resource is perfect for finance professionals, students, and anyone interested in enhancing their understanding of market dynamics. With its expert insights and practical methodologies, this volume is not just a book; it’s a valuable tool for making informed financial decisions. Don't miss out on this essential addition to your finance library!

Market Risk Analysis, Quantitative Methods in Finance

Market Risk Analysis, Quantitative Me...

Regular price €56,99
Sale price €56,99 Regular price €58,75