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Market Risk Analysis, Practical Financial Econometrics

Carol Alexander

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Autorius Carol Alexander
Leidimo metai 2008 m.
Puslapių skč. 432 psl.
Viršelis Kietas viršelis
ISBN 9780470998014

Market Risk Analysis, Practical Financial Econometrics

Discover the essential insights of risk management with Market Risk Analysis, Practical Financial Econometrics by renowned author Carol Alexander. Published in 2008, this comprehensive volume is part two of the acclaimed four-volume set on market risk analysis. With 432 pages of in-depth content, this book is a must-have for finance professionals and students alike. Professor Alexander, a leading academic in the field, provides practical applications of financial econometrics that are crucial for effective hedging and risk management strategies. Enhance your understanding of market dynamics and equip yourself with the tools needed to navigate the complexities of financial risk. Don't miss the opportunity to learn from one of the foremost experts in the industry!

Market Risk Analysis, Practical Financial Econometrics

Market Risk Analysis, Practical Finan...

Normaali hinta €66,69
Myyntihinta €66,69 Normaali hinta €68,75