Quantitative Financial Risk Management
The bulk of this volume deals with the four main aspects of risk management: market risk, credit risk, risk management - in macro-economy as well as within companies. It presents a number of approaches and case studies directed at applying risk management to diverse business environments. Included a...
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| Format: | Electronic Resource | 
| Language: | English | 
| Published: | Berlin, Heidelberg
          Springer Berlin Heidelberg
    
        2011. | 
| Series: | Computational Risk Management | 
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| Online Access: | Available for University of the Philippines Diliman via SpringerLink. Click here to accessto access | 


