Descriere
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This book describes a maximally simple market risk model that is still practical and main risk measures like the Value-at-Risk and the Expected shortfall..
This book describes a maximally simple market risk model that is still practical and main risk measures like the Value-at-Risk and the Expected shortfall.
Uneori, aceste descrieri pot contine inadvertente. De asemenea, imaginea este informativa si poate contine accesorii neincluse in pachetele standard.