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The Measurement of Market Risk Modelling of Risk Factors, Asset Pricing, and Approximation of Portfolio Distributions

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The Measurement of Market Risk Modelling of Risk Factors, Asset Pricing, and Approximation of Portfolio Distributions,3540421432,9783540421436

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Book Information

Publisher:Springer
Published In:03-Jul-2001
ISBN-10:3540421432
ISBN-13:9783540421436
Binding Type:Paperback
Weight:1.04 lbs
Pages:pp. 292, Illus.

The Title "The Measurement of Market Risk Modelling of Risk Factors, Asset Pricing, and Approximation of Portfolio Distributions 1st Edition" is written by Pierre-Yves Moix. This book was published in the year 2001. The ISBN number 3540421432|9783540421436 is assigned to the Paperback version of this title. The book displayed here is a 1st Edition edition. This book has total of pp. xi + 272 (Pages). The publisher of this title is Springer. We have about 138114 other great books from this publisher. The Measurement of Market Risk Modelling of Risk Factors, Asset Pricing, and Approximation of Portfolio Distributions 1st Edition is currently Available with us.

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