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Scenario Analysis In Risk Management

Theory And Practice In Finance

by Bertrand K. Hassani
language: english
Publisher: Springer International Publishing AG, June of 2018 ‧
121,66€
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This book focuses on identifying and explaining the key determinants of scenario analysis in the context of operational risk, stress testing and systemic risk, as well as management and planning.

Scenario Analysis In Risk Management

Theory And Practice In Finance

by Bertrand K. Hassani

Property Description
ISBN: 9783319797274
Publisher: Springer International Publishing AG
Release Date: June of 2018
Language: English
Dimensions: 156 x 234 x 10 mm
Cover: Softcover
Pages: 162
Format: Book
Categories: Books in English > Economics, Finance and Accounting > Economy
Books in English > Others
EAN: 9783319797274