Search Books

Financial Risk Management: Models, History, and Institutions

Author Allan M. Malz
Publisher Wiley
📄 Viewing lite version Full site ›
🌎 Shop on Amazon — choose country
61.87 95.00 USD
🛒 Buy New on Amazon 🇺🇸 🏷 Buy Used — $49.99

✓ Usually ships in 24 hours

Share:
Book Details
Author(s)Allan M. Malz
PublisherWiley
ISBN / ASIN0470481803
ISBN-139780470481806
AvailabilityUsually ships in 24 hours
Sales Rank646,072
MarketplaceUnited States 🇺🇸

Description

More to Explore: See More Risk Management Resources
 

    TitleRisk Management and
Financial Institutions
Financial Risk ManagementFinancial Risk Manager
Handbook
Mathematics and Statistics
for Financial Risk Management
 Guide TypeTextProfessionalProfessional CertificationAdvanced Professional Pages664772800291 List Price$95.00$95.00$175.00$85.00 Author(s) Hull Malz Jorion / GARP Miller  Publication DateMay 2012October 2011December 2010March 2012 ImprintWileyWileyWileyWiley Print Book 1118269039 0470481803 0470904011 1118170628 Kindle Book B007U2ZQKU B005N8EY8I B004I6DDFG B0072LWTWC Edition3161 Brief DescriptionFundamental coverage after Dodd-Frank, Basel III, & other global developments from top teaching academic.Comprehensive book on cutting-edge tools and techniques to identify risks of all types, and manage them effectively.Core reference for GARP's FRM® Exam and risk professionals looking to stay current on best practices.A practitioners guide to quantitative risk management; many sample problems and application sections.