Mathematics and statistics for financial risk management / / Michael B. Miller
| Mathematics and statistics for financial risk management / / Michael B. Miller |
| Autore | Miller Michael B (Michael Bernard), <1973-> |
| Edizione | [Second edition.] |
| Pubbl/distr/stampa | Hoboken : , : Wiley, , 2013 |
| Descrizione fisica | 1 online resource (333 pages) |
| Disciplina | 332.01/5195 |
| Collana | Wiley finance series |
| Soggetto topico |
Risk management - Mathematical models
Risk management - Statistical methods |
| ISBN |
1-118-75753-X
1-118-75764-5 1-118-81961-6 1-118-75755-6 |
| Classificazione | BUS027000 |
| Formato | Materiale a stampa |
| Livello bibliografico | Monografia |
| Lingua di pubblicazione | eng |
| Record Nr. | UNINA-9910138977803321 |
Miller Michael B (Michael Bernard), <1973->
|
||
| Hoboken : , : Wiley, , 2013 | ||
| Lo trovi qui: Univ. Federico II | ||
| ||
Mathematics and statistics for financial risk management / / Michael B. Miller
| Mathematics and statistics for financial risk management / / Michael B. Miller |
| Autore | Miller Michael B (Michael Bernard), <1973-> |
| Edizione | [Second edition.] |
| Pubbl/distr/stampa | Hoboken : , : Wiley, , 2013 |
| Descrizione fisica | 1 online resource (333 pages) |
| Disciplina | 332.01/5195 |
| Collana | Wiley finance series |
| Soggetto topico |
Risk management - Mathematical models
Risk management - Statistical methods |
| ISBN |
1-118-75753-X
1-118-75764-5 1-118-81961-6 1-118-75755-6 |
| Classificazione | BUS027000 |
| Formato | Materiale a stampa |
| Livello bibliografico | Monografia |
| Lingua di pubblicazione | eng |
| Record Nr. | UNINA-9910811961803321 |
Miller Michael B (Michael Bernard), <1973->
|
||
| Hoboken : , : Wiley, , 2013 | ||
| Lo trovi qui: Univ. Federico II | ||
| ||
Quantitative financial risk management / / Michael B. Miller
| Quantitative financial risk management / / Michael B. Miller |
| Autore | Miller Michael B (Michael Bernard), <1973-> |
| Pubbl/distr/stampa | Hoboken, New Jersey : , : Wiley, , [2019] |
| Descrizione fisica | 1 online resource (323 pages) |
| Disciplina | 332 |
| Collana | Wiley finance series |
| Soggetto topico | Financial risk management |
| ISBN |
1-119-52226-9
1-119-52223-4 |
| Formato | Materiale a stampa |
| Livello bibliografico | Monografia |
| Lingua di pubblicazione | eng |
| Nota di contenuto | Overview of financial risk management -- Market risk: standard deviation -- Market risk: value at risk -- Market risk: expected shortfall, extreme value theory, and stress testing -- Market risk: portfolios and correlation -- Market risk: beyond portfolio correlation -- Market risk: risk attribution -- Credit risk -- Liquidity risk -- Bayesian analysis -- Behavioral economics and risk. |
| Record Nr. | UNINA-9910793102003321 |
Miller Michael B (Michael Bernard), <1973->
|
||
| Hoboken, New Jersey : , : Wiley, , [2019] | ||
| Lo trovi qui: Univ. Federico II | ||
| ||
Quantitative financial risk management / / Michael B. Miller
| Quantitative financial risk management / / Michael B. Miller |
| Autore | Miller Michael B (Michael Bernard), <1973-> |
| Pubbl/distr/stampa | Hoboken, New Jersey : , : Wiley, , [2019] |
| Descrizione fisica | 1 online resource (323 pages) |
| Disciplina | 332 |
| Collana | Wiley finance series |
| Soggetto topico | Financial risk management |
| ISBN |
1-119-52226-9
1-119-52223-4 |
| Formato | Materiale a stampa |
| Livello bibliografico | Monografia |
| Lingua di pubblicazione | eng |
| Nota di contenuto | Overview of financial risk management -- Market risk: standard deviation -- Market risk: value at risk -- Market risk: expected shortfall, extreme value theory, and stress testing -- Market risk: portfolios and correlation -- Market risk: beyond portfolio correlation -- Market risk: risk attribution -- Credit risk -- Liquidity risk -- Bayesian analysis -- Behavioral economics and risk. |
| Record Nr. | UNINA-9910828038803321 |
Miller Michael B (Michael Bernard), <1973->
|
||
| Hoboken, New Jersey : , : Wiley, , [2019] | ||
| Lo trovi qui: Univ. Federico II | ||
| ||