2002 Collection of papers on financial risk analysis, addressing the weaknesses of Value at Risk theory.
Read More
2002 Collection of papers on financial risk analysis, addressing the weaknesses of Value at Risk theory.
Read Less
Book Details
Seller
Sort
Seller Rating
Price: Low to High
Price: High to Low
Condition
Condition: Reverse
Pub Date
Pub Date: Reverse
Sellers Near Me
Hardcover,
New
2002, Cambridge University Press
ISBN-13:
9780521781800
See Item Details ▾
Alibris
BEST
NV, USA
$127.76
Add to Cart
Add this copy of Risk Management: Value at Risk and Beyond to cart. $127.76, new condition, Sold by Ingram Customer Returns Center rated 5.0 out of 5 stars, ships from NV, USA, published 2002 by Cambridge University Press.
Edition:
2002, Cambridge University Press
Hardcover,
New
Available Copies: 10+
Details:
ISBN:
0521781809
ISBN-13:
9780521781800
Pages:
290
Publisher:
Cambridge University Press
Published:
2002
Language:
English
Alibris ID:
11298826641
Shipping Options:
Standard Shipping: $4.99
Trackable Expedited: $9.99
Two Day Air: $29.99
Choose your shipping method in Checkout. Costs may vary based on destination.
Seller's Description:
New. Print on demand Sewn binding. Cloth over boards. 290 p.
Hide Details ▴
2011,
Cambridge University Press, Spain
ISBN-13: 9780521263740
Paperback
2002,
Cambridge University Press, Cambridge
ISBN-13: 9780521781800
Hardcover