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Active Risk Management Financial Models and Statistical Methods
Active Risk Management Financial Models and Statistical Methods

Book Details

Following the recent financial crisis, risk management in financial institutions, particularly in banks, has attracted widespread attention and discussion. Novel modeling approaches and courses to educate future professionals in industry, government, and academia are of timely relevance. This book introduces an innovative concept and methodology developed by the authors: active risk management. It is suitable for graduate students in mathematical finance/financial engineering, economics, and statistics as well as for practitioners in the fields of finance and insurance. The book?s website features the data sets used in the examples along with various exercises.

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  • Authors Tze Leung Lai, Haipeng Xing
  • ISBN13 9781439839485
  • ISBN10 1439839484
  • Pages 350
  • Published 2016
  • Fecha de publicación 15/01/2016
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Active Risk Management Financial Models and Statistical Methods

Active Risk Management Financial Models and Statistical Methods

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