Manajemen
Mastering value at risk: a sterp-by step guide to understanding and applying VaR
Value at Risk (VAR) is rapidly emerging as the dominant methodology for estimating precisely how much money is at risk each day in the financial markets. This book provides an objective view of VAR, analyzing its pitfalls and benefits.
200200726 | 332.6 BUT m | Kalbis Institute Library | Available |
200200727 | 332.6 BUT m | Kalbis Institute Library | Available |
200200729 | 332.6 BUT m | Kalbis Institute Library | Available |
200200728 | 332.6 BUT m | Kalbis Institute Library | Available |
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