Managers operate in a world full of risk and uncertainty and all managers need to man- age the risks that they face. The best way to achieve a clear understanding of risk is to use quantitative tools and probability models. This book is the most comprehensive book in quantitative finance and risk management, which integrates theory, methodology, and application.
| ISBN-13: | 9781781635155 |
| ISBN-10: | 1781635153 |
| Publisher: | Koros Press Limited |
| Publication date: | 2014-05-01 |
| Edition description: | 1 |
| Product dimensions: | height: 40 mm, length: 200 mm, width: 140 mm |
| Author: | Jeremy Brown |
| Language: | en |
| Binding: | hardcover |