Dealing with Financial Risk (The Economist Series)
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Bookitis Pick
DW
Image source: Open LibraryDavid ShirreffFirst published 20041 editions
A reference to financial risk, including swaps and futures, credit derivatives, Basel 2, dynamic hedging, Monte Carlo simulations, chaos theory, neural networks, Raroc, worst-case scenarios, and other risk management topics.
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First publish date July 20041 credited authorSearch language english
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- Open Author
David Shirreff
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