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Condition: |
Brand new: A new, unread, unused book in perfect condition with no missing or damaged pages. See the
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Format: | Hardback |
Language: | English | ISBN: | 9780691166278 |
EAN: | 9780691166278 |
Product Information | |
This book provides a comprehensive treatment of the theoretical concepts and modelling techniques of quantitative risk management and equips readers - whether financial risk analysts, actuaries, regulators, or students of quantitative finance - with practical tools to solve real-world problems. | |
Product Identifiers | |
Publisher | Princeton University Press |
ISBN-10 | 0691166277 |
ISBN-13 | 9780691166278 |
eBay Product ID (ePID) | 212938291 |
Product Key Features | |
Format | Hardback |
Language | English |
Dimensions | |
Weight | 1616g |
Width | 178mm |
Height | 254mm |
Additional Product Features | |
Subjects | Management, Business, Economics & Industry |
Place of Publication | New Jersey |
Genre | Finance & Accounting |
Edition Statement | Revised |
Pagination | 720 |
Series | Princeton Series in Finance |
Author Biography | Alexander J. McNeil is professor of actuarial mathematics and statistics at Heriot-Watt University in Edinburgh. Rudiger Frey is professor of mathematics and finance at the Vienna University of Economics and Business. Paul Embrechts is professor of mathematics at the Swiss Federal Institute of Technology in Zurich. |
Country of Publication | United States |
Author | Alexander J. Mcneil, Paul Embrechts, Rudiger Frey |
Prizes | Short-Listed for Top 10 Technical Books on Financial Engineering, Financial Engineering News 2006. |
Date of Publication | 26/05/2015 |
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