Risk Management: Value at Risk and Beyond

Risk Management: Value at Risk and Beyond

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2002 · Inglese · Copertina rigida
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Descrizione

M. A. H. Dempster delves into the intricate world of financial risk management, focusing on the pivotal concept of Value at Risk (VaR). This comprehensive exploration not only unravels the mathematical underpinnings of VaR but also highlights its practical applications in assessing potential losses within portfolios.

Dempster places emphasis on the nuances of risk assessment, guiding readers through the various methodologies and the implications of their choices in a volatile financial landscape. As the narrative unfolds, it becomes clear that understanding and managing risk is not merely an academic exercise, but a crucial skill for navigating the complexities of finance.

Beyond just VaR, the author invites discourse on advanced techniques and alternative measures, ensuring that readers are equipped with a broader toolkit for tackling real-world financial challenges. The work stands as a vital resource for both seasoned professionals and newcomers eager to grasp the evolving dynamics of risk management.

Dettagli del libro

Formato Copertina rigida
Pagine 290 pagine
Lingua Inglese
Pubblicato Feb 11, 2002
Editore Cambridge University Press
ISBN-10 0521883717
ISBN-13 9780521883719
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