Scenario Analysis in Risk Management : Theory and Practice in Finance by Bertrand Hassani (2016, Hardcover)

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ISBN-13: 9783319250540, 978-3319250540. The author also provides technical notes and describes applications and key characteristics for each of the solutions. Theory and Practice in Finance. Publisher: Springer International Publishing AG, Switzerland.

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Product Identifiers

PublisherSpringer International Publishing A&G
ISBN-10331925054X
ISBN-139783319250540
eBay Product ID (ePID)225570584

Product Key Features

Number of PagesXiii, 162 Pages
LanguageEnglish
Publication NameScenario Analysis in Risk Management : Theory and Practice in Finance
SubjectFinance / General, Decision-Making & Problem Solving, Economics / Macroeconomics, Money & Monetary Policy
Publication Year2016
TypeTextbook
AuthorBertrand Hassani
Subject AreaBusiness & Economics
FormatHardcover

Dimensions

Item Weight137.9 oz.
Item Length9.3 in
Item Width6.1 in

Additional Product Features

Intended AudienceScholarly & Professional

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