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Beyond Value at Risk

Beyond Value at Risk The New Science of Risk Management

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Frontiers in Finance Series

Beyond Value at Risk

The New Science of Risk Management

Kevin Dowd

Business & Economics / Investments & Securities / General

Risikoabschatzung und -management - ein 'hei?es' Thema der internationalen Finanzwelt, und das nicht erst seit dem Zusammenbruch von Barings! Dieses Buch erlautert die wichtigsten Methoden der Risikobewertung, insbesondere VAR ('Value at Risk'), in einfacher, verstandlicher Form und untersucht die theoretischen Grundlagen der Hilfsmittel und Techniken, anhand derer Finanzdienstleister ihr Risiko berechnen.

Kevin Dowd is Professor and Head of Economics at the University of Sheffield, England, and is an Adjunct Scholar at the Cato Institute, Washington DC. Prior to this he was Professor of Financial Economics at Sheffield Hallam University and Reader in Monetary Economics at the University of Nottingham. His previous works include Competition and Finance: A Reinterpretation of Financial and Monetary Economics (1996), and Laissez-Faire Banking (1993). He also edited The Experience of Free Banking (1992).


Publication Date: 11 May 1999
Publisher: Wiley
Imprint: Wiley
ISBN-13: 9780471976226
Format: Paperback / softback
Page Count: 288
Weight (oz): 17.0

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