Language: English
Published by Amsterdam University Press, 2017
ISBN 10: 9462984050 ISBN 13: 9789462984059
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Language: English
Published by Taylor & Francis Ltd, 2025
ISBN 10: 1041185561 ISBN 13: 9781041185567
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Language: English
Published by Amsterdam University Press, 2017
ISBN 10: 9462984050 ISBN 13: 9789462984059
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Language: English
Published by Taylor & Francis Ltd Dez 2025, 2025
ISBN 10: 1041185561 ISBN 13: 9781041185567
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Taschenbuch. Condition: Neu. Neuware - Risk Quantification and Allocation Methods for Practitioners offers a practical approach to risk management in the financial industry. This in-depth study provides quantitative tools to better describe qualitative issues, as well as clear explanations of how to transform recent theoretical developments into computational practice, and key tools for dealing with the issues of risk measurement and capital allocation.
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Language: English
Published by AMSTERDAM UNIVERSITY PRESS, 2017
ISBN 10: 9462984050 ISBN 13: 9789462984059
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Condition: New. 1. Provides an in depth analysis of advantages and pitfalls of most commonly used risk measures, follow-up by new and innovate alternatives 2. Teaches how to computationally exploit some recently developed risk assessment contributions 3. Contains quantitative tools to better describe qualitative issues with R examples AUP S17 catalogue text Risk Quantification and Allocation Methods for Practitioners offers a practical approach to risk management in the financial industry. This in-depth study provides quantitative tools to better describe qualitative issues, as well as clear explanations of how to transform recent Series: ATLANTIS STUDIES IN COMPUTATIO. Num Pages: 234 pages. Weight in Grams: 65. . 2017. Hardback. . . . .
Language: English
Published by AMSTERDAM UNIVERSITY PRESS, 2017
ISBN 10: 9462984050 ISBN 13: 9789462984059
Seller: Kennys Bookstore, Olney, MD, U.S.A.
Condition: New. 1. Provides an in depth analysis of advantages and pitfalls of most commonly used risk measures, follow-up by new and innovate alternatives 2. Teaches how to computationally exploit some recently developed risk assessment contributions 3. Contains quantitative tools to better describe qualitative issues with R examples AUP S17 catalogue text Risk Quantification and Allocation Methods for Practitioners offers a practical approach to risk management in the financial industry. This in-depth study provides quantitative tools to better describe qualitative issues, as well as clear explanations of how to transform recent Series: ATLANTIS STUDIES IN COMPUTATIO. Num Pages: 234 pages. Weight in Grams: 65. . 2017. Hardback. . . . . Books ship from the US and Ireland.
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Condition: New. Dieser Artikel ist ein Print on Demand Artikel und wird nach Ihrer Bestellung fuer Sie gedruckt. Jaume Belles-Sampera has a PhD in Business Studies at the University of Barcelona (UB). He has a Degree in Mathematics and a Master Degree in Research in Business, Finance and Insurance from the UB. He combines his daily job in the insurance industry with s.
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Buch. Condition: Neu. nach der Bestellung gedruckt Neuware - Printed after ordering - This book offers a practical approach to risk management in the financial industry.