Mathematics and Statistics for Financial Risk Management (Wiley Finance)
Mathematics and Statistics for Financial Risk Management offers a focused treatment of the quantitative subjects connected with financial risk. Combining mathematics, statistics, and finance in one volume, it provides a structured resource for readers developing their understanding of risk management methods.
About This Book
Mathematics and Statistics for Financial Risk Management focuses on quantitative methods associated with financial risk management.
The book brings together mathematical and statistical perspectives within a finance-focused context.
It is intended for readers looking for a structured resource on the quantitative foundations of financial risk management.
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