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Risk Analysis in Finance and Insurance 2nd edition
Alexander Melnikov
Risk Analysis in Finance and Insurance 2nd edition
Alexander Melnikov
The development of quantitative methods based on stochastic analysis is a key achievement of modern financial mathematics. This book presents an introduction to the main ideas, methods, and techniques that transform risk management into a quantitative science.
328 pages, 9 black & white illustrations, 4 black & white tables
Media | Books Hardcover Book (Book with hard spine and cover) |
Released | April 25, 2011 |
ISBN13 | 9781420070521 |
Publishers | Taylor & Francis Ltd |
Pages | 328 |
Dimensions | 243 × 163 × 21 mm · 598 g |
Language | English |
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