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Measuring Market Risk + CDROM, 2nd Edition (The Wiley Finance Series) Book
Includes a chapter on options risk management, as well as information on parametric risk, non-parametric measurements and liquidity risks. This title also includes practical information to help with specific calculations, and various examples including Q&A's and case studies. It is accompanied by a CD-ROM.Read More
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Blackwell
This is a thoroughly revised and updated edition of Measuring Market Risk, which was first published in 2002. The first three chapters provide an overview of the subject, and there is a particular emphasis on the new coherent risk measures.
- 0470013036
- 9780470013038
- Kevin Dowd
- 27 May 2005
- John Wiley & Sons
- Hardcover (Book)
- 410
- 2nd Edition
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