Description
Reviews
"The book describes how to deal with the different sorts of financial market risk. ... The book can be used by advanced undergraduate students and graduate students in its entirety. It is also interesting for the specialists in financial market risk and is of considerable importance to practitioners in the field." (Yuliya S. Mishura, zbMath 1410.91004, 2019)
Book Information
ISBN 9783319516660
Author Fahed Mostafa
Format Hardback
Page Count 171
Imprint Springer International Publishing AG
Publisher Springer International Publishing AG