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Bayesian Risk Management: A Guide to Model Risk and Sequential Learning in Financial Markets - Wiley Finance
Matt Sekerke
Bayesian Risk Management: A Guide to Model Risk and Sequential Learning in Financial Markets - Wiley Finance
Matt Sekerke
A risk measurement and management framework that takes model risk seriously Most financial risk models assume the future will look like the past, but effective risk management depends on identifying fundamental changes in the marketplace as they occur.
320 pages
Mídia | Livros Hardcover Book (Livro com lombada e capa dura) |
Lançado | 15 de setembro de 2015 |
ISBN13 | 9781118708606 |
Editoras | John Wiley & Sons Inc |
Páginas | 240 |
Dimensões | 237 × 165 × 23 mm · 430 g |
Idioma | English |