Mathematics and Statistics for Financial Risk Management
85.00
USD
Book Details
Author(s)Michael B. Miller
PublisherWiley
ISBN / ASIN1118170628
ISBN-139781118170625
Sales Rank1,163,772
MarketplaceUnited States 🇺🇸
Description
More to Explore: See More Risk Management Resources
  TitleRisk Management and
Financial InstitutionsFinancial Risk ManagementFinancial Risk Manager
HandbookMathematics and Statistics
for Financial Risk ManagementÂ
Guide Type
Text
Professional
Professional Certification
Advanced Professional
 Pages
664
772
800
291
 List Price
$95.00
$95.00
$175.00
$85.00
 Author(s)
Hull
Malz
Jorion / GARP
Miller
 Publication Date
May 2012
October 2011
December 2010
March 2012
 Imprint
Wiley
Wiley
Wiley
Wiley
 Print Book
1118269039
0470481803
0470904011
1118170628
 Kindle Book
B007U2ZQKU
B005N8EY8I
B004I6DDFG
B0072LWTWC
 Edition
3
1
6
1
 Brief Description
Fundamental 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.
