Mathematics and statistics for financial risk management:
"This is an excellent book to grasp the basics of financial risk management. Everything in the book is explained from scratch and the concepts are very well exemplified with real life situations. Accompanied with a website filled with excel sheets for application, the book is great for future c...
Gespeichert in:
1. Verfasser: | |
---|---|
Format: | Buch |
Sprache: | English |
Veröffentlicht: |
Hoboken, NJ
Wiley
2014
|
Ausgabe: | 2. ed. |
Schriftenreihe: | Wiley finance series
|
Schlagworte: | |
Zusammenfassung: | "This is an excellent book to grasp the basics of financial risk management. Everything in the book is explained from scratch and the concepts are very well exemplified with real life situations. Accompanied with a website filled with excel sheets for application, the book is great for future course material. This Second Edition of Mathematics and Statistics for Financial Risk Management includes 2 new chapters. The first chapter is on Bayesian Analysis and covers Bayes' Theorem, Many State Problems, Continuous Distributions, Bayesian Networks, and Bayesian Networks versus Correlation Matrices. The second new chapter is on Hypothesis Testing & Confidence Intervals and is on The Sample Mean Revisited, Sample Variance Revisited, Confidence Intervals, Hypothesis Testing, Chebyshev's Inequality, and Application: VaR. All chapters will have problems for testing and answers online".. |
Beschreibung: | Includes bibliographical references and index |
Beschreibung: | XIII, 317 S. |
ISBN: | 9781118750292 |
Internformat
MARC
LEADER | 00000nam a2200000 c 4500 | ||
---|---|---|---|
001 | BV041793342 | ||
003 | DE-604 | ||
005 | 20160729 | ||
007 | t | ||
008 | 140411s2014 xxu |||| 00||| eng d | ||
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020 | |a 9781118750292 |c hc |9 978-1-118-75029-2 | ||
035 | |a (OCoLC)882912586 | ||
035 | |a (DE-599)BVBBV041793342 | ||
040 | |a DE-604 |b ger |e aacr | ||
041 | 0 | |a eng | |
044 | |a xxu |c US | ||
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050 | 0 | |a HD61 | |
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084 | |a QP 890 |0 (DE-625)141965: |2 rvk | ||
100 | 1 | |a Miller, Michael B. |e Verfasser |4 aut | |
245 | 1 | 0 | |a Mathematics and statistics for financial risk management |c Michael B. Miller |
250 | |a 2. ed. | ||
264 | 1 | |a Hoboken, NJ |b Wiley |c 2014 | |
300 | |a XIII, 317 S. | ||
336 | |b txt |2 rdacontent | ||
337 | |b n |2 rdamedia | ||
338 | |b nc |2 rdacarrier | ||
490 | 0 | |a Wiley finance series | |
500 | |a Includes bibliographical references and index | ||
520 | |a "This is an excellent book to grasp the basics of financial risk management. Everything in the book is explained from scratch and the concepts are very well exemplified with real life situations. Accompanied with a website filled with excel sheets for application, the book is great for future course material. This Second Edition of Mathematics and Statistics for Financial Risk Management includes 2 new chapters. The first chapter is on Bayesian Analysis and covers Bayes' Theorem, Many State Problems, Continuous Distributions, Bayesian Networks, and Bayesian Networks versus Correlation Matrices. The second new chapter is on Hypothesis Testing & Confidence Intervals and is on The Sample Mean Revisited, Sample Variance Revisited, Confidence Intervals, Hypothesis Testing, Chebyshev's Inequality, and Application: VaR. All chapters will have problems for testing and answers online".. | ||
650 | 7 | |a BUSINESS & ECONOMICS / Finance |2 bisacsh | |
650 | 4 | |a Mathematisches Modell | |
650 | 4 | |a Wirtschaft | |
650 | 4 | |a Risk management |x Mathematical models | |
650 | 4 | |a Risk management |x Statistical methods | |
650 | 4 | |a BUSINESS & ECONOMICS / Finance | |
650 | 0 | 7 | |a Risikomanagement |0 (DE-588)4121590-4 |2 gnd |9 rswk-swf |
650 | 0 | 7 | |a Finanzmathematik |0 (DE-588)4017195-4 |2 gnd |9 rswk-swf |
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689 | 0 | |5 DE-604 | |
776 | 0 | 8 | |i Erscheint auch als |n Online-Ausgabe, EPUB |z 9781118757642 |
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776 | 0 | 8 | |i Erscheint auch als |n Online-Ausgabe, PDF |z 97811187575550 |
999 | |a oai:aleph.bib-bvb.de:BVB01-027238917 |
Datensatz im Suchindex
_version_ | 1804152111081979904 |
---|---|
any_adam_object | |
author | Miller, Michael B. |
author_facet | Miller, Michael B. |
author_role | aut |
author_sort | Miller, Michael B. |
author_variant | m b m mb mbm |
building | Verbundindex |
bvnumber | BV041793342 |
callnumber-first | H - Social Science |
callnumber-label | HD61 |
callnumber-raw | HD61 |
callnumber-search | HD61 |
callnumber-sort | HD 261 |
callnumber-subject | HD - Industries, Land Use, Labor |
classification_rvk | QP 890 |
ctrlnum | (OCoLC)882912586 (DE-599)BVBBV041793342 |
dewey-full | 332.01/5195 |
dewey-hundreds | 300 - Social sciences |
dewey-ones | 332 - Financial economics |
dewey-raw | 332.01/5195 |
dewey-search | 332.01/5195 |
dewey-sort | 3332.01 45195 |
dewey-tens | 330 - Economics |
discipline | Wirtschaftswissenschaften |
edition | 2. ed. |
format | Book |
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id | DE-604.BV041793342 |
illustrated | Not Illustrated |
indexdate | 2024-07-10T01:05:31Z |
institution | BVB |
isbn | 9781118750292 |
language | English |
lccn | 013027322 |
oai_aleph_id | oai:aleph.bib-bvb.de:BVB01-027238917 |
oclc_num | 882912586 |
open_access_boolean | |
owner | DE-1050 DE-19 DE-BY-UBM DE-N2 DE-92 DE-355 DE-BY-UBR DE-2070s |
owner_facet | DE-1050 DE-19 DE-BY-UBM DE-N2 DE-92 DE-355 DE-BY-UBR DE-2070s |
physical | XIII, 317 S. |
publishDate | 2014 |
publishDateSearch | 2014 |
publishDateSort | 2014 |
publisher | Wiley |
record_format | marc |
series2 | Wiley finance series |
spelling | Miller, Michael B. Verfasser aut Mathematics and statistics for financial risk management Michael B. Miller 2. ed. Hoboken, NJ Wiley 2014 XIII, 317 S. txt rdacontent n rdamedia nc rdacarrier Wiley finance series Includes bibliographical references and index "This is an excellent book to grasp the basics of financial risk management. Everything in the book is explained from scratch and the concepts are very well exemplified with real life situations. Accompanied with a website filled with excel sheets for application, the book is great for future course material. This Second Edition of Mathematics and Statistics for Financial Risk Management includes 2 new chapters. The first chapter is on Bayesian Analysis and covers Bayes' Theorem, Many State Problems, Continuous Distributions, Bayesian Networks, and Bayesian Networks versus Correlation Matrices. The second new chapter is on Hypothesis Testing & Confidence Intervals and is on The Sample Mean Revisited, Sample Variance Revisited, Confidence Intervals, Hypothesis Testing, Chebyshev's Inequality, and Application: VaR. All chapters will have problems for testing and answers online".. BUSINESS & ECONOMICS / Finance bisacsh Mathematisches Modell Wirtschaft Risk management Mathematical models Risk management Statistical methods BUSINESS & ECONOMICS / Finance Risikomanagement (DE-588)4121590-4 gnd rswk-swf Finanzmathematik (DE-588)4017195-4 gnd rswk-swf Finanzmathematik (DE-588)4017195-4 s Risikomanagement (DE-588)4121590-4 s DE-604 Erscheint auch als Online-Ausgabe, EPUB 9781118757642 Erscheint auch als Online-Ausgabe, MOBI 9781118757536 Erscheint auch als Online-Ausgabe, PDF 97811187575550 |
spellingShingle | Miller, Michael B. Mathematics and statistics for financial risk management BUSINESS & ECONOMICS / Finance bisacsh Mathematisches Modell Wirtschaft Risk management Mathematical models Risk management Statistical methods BUSINESS & ECONOMICS / Finance Risikomanagement (DE-588)4121590-4 gnd Finanzmathematik (DE-588)4017195-4 gnd |
subject_GND | (DE-588)4121590-4 (DE-588)4017195-4 |
title | Mathematics and statistics for financial risk management |
title_auth | Mathematics and statistics for financial risk management |
title_exact_search | Mathematics and statistics for financial risk management |
title_full | Mathematics and statistics for financial risk management Michael B. Miller |
title_fullStr | Mathematics and statistics for financial risk management Michael B. Miller |
title_full_unstemmed | Mathematics and statistics for financial risk management Michael B. Miller |
title_short | Mathematics and statistics for financial risk management |
title_sort | mathematics and statistics for financial risk management |
topic | BUSINESS & ECONOMICS / Finance bisacsh Mathematisches Modell Wirtschaft Risk management Mathematical models Risk management Statistical methods BUSINESS & ECONOMICS / Finance Risikomanagement (DE-588)4121590-4 gnd Finanzmathematik (DE-588)4017195-4 gnd |
topic_facet | BUSINESS & ECONOMICS / Finance Mathematisches Modell Wirtschaft Risk management Mathematical models Risk management Statistical methods Risikomanagement Finanzmathematik |
work_keys_str_mv | AT millermichaelb mathematicsandstatisticsforfinancialriskmanagement |