We a good story
Quick delivery in the UK

Bubble Value at Risk

- A Countercyclical Risk Management Approach

part of the Wiley Finance series

About Bubble Value at Risk

Introduces a powerful new approach to financial risk modeling with proven strategies for its real-world applications The 2008 credit crisis did much to debunk the much touted powers of Value at Risk (VaR) as a risk metric. Unlike most authors on VaR who focus on what it can do, in this book the author looks at what it cannot.

Show more
  • Language:
  • English
  • ISBN:
  • 9781118550342
  • Binding:
  • Hardback
  • Pages:
  • 320
  • Published:
  • April 11, 2013
  • Edition:
  • Dimensions:
  • 162x236x26 mm.
  • Weight:
  • 692 g.
Delivery: 2-4 weeks
Expected delivery: December 22, 2024
Extended return policy to January 30, 2025

Description of Bubble Value at Risk

Introduces a powerful new approach to financial risk modeling with proven strategies for its real-world applications The 2008 credit crisis did much to debunk the much touted powers of Value at Risk (VaR) as a risk metric. Unlike most authors on VaR who focus on what it can do, in this book the author looks at what it cannot.

User ratings of Bubble Value at Risk



Find similar books
The book Bubble Value at Risk can be found in the following categories:

Join thousands of book lovers

Sign up to our newsletter and receive discounts and inspiration for your next reading experience.