This book is a great reference text for MBA and MA Economics and Finance students, as well as for professional covering a broad range of topics dealing with quantifying risk in a variety of decision-making settings. The book provides readers with rigorous techniques for applied risk problems, offering a broad scope of simulation techniques with minimal mathematical background required.
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ISBN | 9789814327091 |
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Sprache | eng |
Cover | Fester Einband |
Verlag | World Scientific Publishing Company |
Jahr | 20250228 |
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