Market Risk Analysis, Quantitative Methods in Finance (Volume I)

By Carol Alexander.

Market Risk Analysis, Quantitative Methods in Finance (Volume I)

Description

Written by leading market risk academic, Professor Carol Alexander, Quantitative Methods in Finance forms part one of the Market Risk Analysis four volume set. Starting from the basics, this book helps readers to take the first step towards becoming a properly qualified financial risk manager and asset manager, roles that are currently in huge demand. Accessible to intelligent readers with a moderate understanding of mathematics at high school level or to anyone with a university degree in mathematics, physics or engineering, no prior knowledge of finance is necessary. Instead the emphasis ...

ISBN(s)

0470998008, 9780470998007

REVIEWS (0) -

No reviews posted yet.

WRITE A REVIEW

Please login to write a review.