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Financial Risk Management Part I, Quantitative Analysis

Author Global Association of Risk Professionals
Publisher Prentice Hall
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Book Details
PublisherPrentice Hall
ISBN / ASIN1269591045
ISBN-139781269591041
Sales Rank5,827,750
MarketplaceUnited States 🇺🇸

Description

This text book is meant for students sitting for FRM examination. It covers the following chapters: - Discrete and continuous probability distributions - Population and sample statistics - Estimating the parameters of distributions - Graphical representation of statistical relationships - Linear regression with single and multiple regressors - Simulation methods - Estimating correlation and volatility using EWMA and GARCH models - Volatility term structures