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Financial Risk Management: An Analytical Approach

Financial Risk Management: An Analytical Approach

Paperback

Investing & Finance

ISBN13: 9798823382182
Publisher: Cognella Academic Publishing
Published: Feb 20 2025
Pages: 728
Weight: 3.12
Height: 1.45 Width: 8.00 Depth: 10.00
Language: English

Financial Risk Management: An Analytical Approach guides readers on a comprehensive journey through varied dimensions of financial risk, including market risk, credit risk, operational risk, and liquidity risk. It presents a cogent exploration of mathematical models, statistical methods, and computational techniques essential for risk assessment and mitigation. The text highlights the emergence of Python as a pivotal tool for finance professionals in risk analysis, modeling, and decision-making.

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Investing & Finance