(Download free pdf) Implementing Value at Risk (Wiley Series in Financial Engineering)






 | #3529013 in eBooks |  2010-01-15 |  2010-01-15 | File Name: B000UERSQK


||17 of 18 people found the following review helpful.| AN AVERAGE VAR BOOK|By M. Hakan Erdem|This book well explains what is Value At Risk and the concept of risk management in banks. Business concepts are complete. The author gives a lot of weight in risk control.
However, he lacks to give detailed examples on how to calculate VAR, the mathematics/statistics behind. Spreadsheets are nice but not complete from the begin|From the Publisher|"Value at Risk" (VAR) is a modeling method used to determine how much money an organization is putting at risk through its trading activities. Here, Philip Best, an expert on the subject, offers a comprehensive and detailed discussion on the

Implementing Value at Risk Philip Best Value at Risk (VAR) is an estimate of the potential loss on a trading or investment portfolio. Its use has swept the banking world and is now accepted as an essential tool in any risk manager's briefcase. Perhaps the greatest strength of VAR is that it can cope with virtually all financial products, from simple securities through to complex exotic derivatives. This allows the risk taken, across diverse trading activities, to be com...


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You can specify the type of files you want, for your gadget.Implementing Value at Risk (Wiley Series in Financial Engineering)   |  Philip Best. I was recommended this book by a dear friend of mine.

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