An Introduction to Value at Risk 4e (Securities Institute)
Language: English
Published by John Wiley &Sons, 2006
- Softcover
- Used

Seller: Greenworld Books, arlington, TX, U.S.A.Greenworld Books
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Fast Free Shipping – Good condition. It may show normal signs of use, such as light writing, highlighting, or library markings, but all pages are intact and the book is fully readable. A solid, complete copy that's ready to enjoy.
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- Title
- An Introduction to Value at Risk 4e (Securities Institute)
- Author
- Choudhry, Moorad
- Publisher
- John Wiley &Sons
- Publication year
- 2006
- Condition
- good
- Binding
- Soft cover
- Language
- English
- ISBN 10
- 0470017570
- ISBN 13
- 9780470017579
- Edition
- 4th Edition
Topics covered include:
- Defining value-at-risk
- Variance-covariance methodology
- Monte Carlo simulation
- Portfolio VaR
- Credit risk and credit VaR
Topics are illustrated with Bloomberg screens, worked examples, exercises and case studies. Related issues such as statistics, volatility and correlation are also introduced as necessary background for students and practitioners. This is essential reading for all those who require an introduction to financial market risk management and value-at-risk.
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Greenworld Books
arlington, TX, U.S.A.
AbeBooks seller since June 20, 2025
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