Measuring Market Risk (The Wiley Finance Series) Book + PRICE WATCH * Amazon pricing is not included in price watch

Measuring Market Risk (The Wiley Finance Series) Book

This book offers an extensive and up-to-date review of market risk measurement, focusing particularly on the estimation of value at risk (VaR) and expected tail loss (ETL). Measuring Market Risk provides coverage of parametric and non-parametric risk estimation, simulation, numerical methods, liquidity risks, risk decomposition and budgeting, backtesting, stress testing, and model risk, as well as appendices on mapping delta-gamma approximations and options VaR. Divided into two parts, the book also comes with a Toolkit containing 11 toolboxes dealing with technical issues often used in market risk measurement, including quantile error estimation, order statistics, principal components and factor analysis, non-parametric density estimation, fat-tailed distributions, extreme-value theory, simulation methods, volatility and correlation estimation, and copulas. The book is packaged with a CD containing a MATLAB folder of 150 risk measurement functions, with additional examples in Excel/VBA. Measuring Market Risk is designed for practitioners involved in risk measurement and management. It will also be of use to MBA, MA and MSc programmes in finance, financial engineering, risk management and related subjects in addition to academics and researchers working in this field.Read More

from£N/A | RRP: £65.00
* Excludes Voucher Code Discount Also available Used from £N/A
  • 0471521744
  • 9780471521747
  • Kevin Dowd
  • 29 August 2002
  • John Wiley & Sons
  • Hardcover (Book)
  • 392
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