(Get free) The Risk Modeling Evaluation Handbook: Rethinking Financial Risk Management Methodologies in the Global Capital Markets (McGraw-Hill Finance & Investing)






 | #3062470 in eBooks |  2010-02-12 |  2010-02-12 | File Name: B003BZVIYS


||About the Author||Greg N. Gregoriou is professor of finance in the School of Business and Economics at State University of New York (Plattsburgh). He is the author of numerous financial books and coeditor for the Journal of Derivatives and Hedge Funds

  • Addresses newly exposed weaknesses of financial risk models in the context of market stress scenarios
  • This will be the definitive book for readers looking to improve their approach to modeling financial risk


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