Risk Measures & Extreme Value Theory (EVT) in Finance: A Practical Guide to Tail Risk, Crisis Modeling, and Quantitative Risk Management

Risk Measures & Extreme Value Theory (EVT) in Finance: A Practical Guide to Tail Risk, Crisis Modeling, and Quantitative Risk Management

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Product Description

Risk Measures & Extreme Value Theory (EVT) in Finance: A Practical Guide to Tail Risk, Crisis Modeling, and Quantitative Risk Management

Technical Specifications

Country
USA
Brand
Majosta
Manufacturer
Independently published
Binding
Paperback
IsAdultProduct
Height
9
Length
6
Weight
0.85098433132
Width
0.75
NumberOfItems
1
Author
Van Der Post, Hayden, Publishing, Rective, Strauss, Johann