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E-book
Mathematics and Statistics for Financial Risk ManagementISBN: 978-1-118-23976-6
E-book
336 pages
January 2012
This price is valid for United States. Change location to view local pricing and availability. ![]() Other Available Formats: Hardcover
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"At every turn this book shows the relevance of mathematical and statistical concepts to risk management. They are no longer the desiccated notions found in most textbooks but assume a sense of vibrancy. So, if you're trying to hone your skills, this book is a great place to start." (SeekingAlpha, April 2012)



