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Modeling, Measuring and Managing Risk

83.77 125.00 -33% USD

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Book Details
ISBN / ASIN 9812707409
ISBN-13 9789812707406
Availability Usually ships in 2 to 3 weeks
Sales Rank #4,734,941
Category Mathematics
Marketplace United States 🇺🇸
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Description
This book is the first in the market to treat single- and multi-period risk measures (risk functionals) in a thorough, comprehensive manner. It combines the treatment of properties of the risk measures with the related aspects of decision making under risk. The book introduces the theory of risk measures in a mathematically sound way. It contains properties, characterizations and representations of risk functionals for single-period and multi-period activities, and also shows the embedding of such functionals in decision models and the properties of these models.
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