Skip to content

Measuring Market Risk

Measuring Market Risk

Measuring Market Risk
Stock Photo: Cover May Be Different

Measuring Market Risk

by Kevin Dowd

  • New
Condition
New/New
ISBN 10
0471521744
ISBN 13
9780471521747
Seller
Seller rating:
This seller has earned a 5 of 5 Stars rating from Biblio customers.
New Delhi, India
5 Copies Available from This Seller
(You can add more at checkout.)
Item Price
€64.91
Or just €58.42 with a
Bibliophiles Club Membership
€4.72 Shipping to USA
Standard delivery: 7 to 14 days

More Shipping Options

Payment Methods Accepted

  • Visa
  • Mastercard
  • American Express
  • Discover
  • PayPal

About This Item

New/New. Brand New Original US Edition, Perfect Condition. Printed in English. Excellent Quality, Service and customer satisfaction guaranteed!

Synopsis

This book offers an extensive and up-to-date review of market risk measurement, focusing particularly on the estimation of value at risk (VaR) and expected tail loss (ETL).Measuring Market Risk provides coverage of parametric and non-parametric risk estimation, simulation, numerical methods, liquidity risks, risk decomposition and budgeting, backtesting, stress testing, and model risk, as well as appendices on mapping delta-gamma approximations and options VaR. Divided into two parts, the book also comes with a Toolkit containing 11 toolboxes dealing with technical issues often used in market risk measurement, including quantile error estimation, order statistics, principal components and factor analysis, non-parametric density estimation, fat-tailed distributions, extreme-value theory, simulation methods, volatility and correlation estimation, and copulas. The book is packaged with a CD containing a MATLAB folder of 150 risk measurement functions, with additional examples in Excel/VBA.Measuring Market Risk is designed for practitioners involved in risk measurement and management. It will also be of use to MBA, MA and MSc programmes in finance, financial engineering, risk management and related subjects in addition to academics and researchers working in this field.

Reviews

(Log in or Create an Account first!)

You’re rating the book as a work, not the seller or the specific copy you purchased!

Details

Bookseller
Students Textbooks IN (IN)
Bookseller's Inventory #
BIBR-30673
Title
Measuring Market Risk
Author
Kevin Dowd
Book Condition
New
Jacket Condition
New
Quantity Available
5
Binding
Unknown
ISBN 10
0471521744
ISBN 13
9780471521747
Publisher
John Wiley & Sons
This edition first published
October 15, 2002

Terms of Sale

Students Textbooks

30 day return guarantee, with full refund including shipping costs for up to 30 days after delivery if an item arrives misdescribed or damaged. Return address: Students_Textbooks 12 phankha road Jankpuri New Delhi 110036 India

About the Seller

Students Textbooks

Seller rating:
This seller has earned a 5 of 5 Stars rating from Biblio customers.
Biblio member since 2009
New Delhi

About Students Textbooks

Selling textbooks, International editions and reference books online from last 5 Years.

Glossary

Some terminology that may be used in this description includes:

New
A new book is a book previously not circulated to a buyer. Although a new book is typically free of any faults or defects, "new"...
tracking-