Tahun : 2012 Pengarang : Peter F. Christoffersen Penerbit : Elsevier, Inc Ket : This book is intended for three types of readers with an interest in financial risk
management: first, graduate and PhD students specializing in finance and economics;
second, market practitioners with a quantitative undergraduate or graduate degree;
third, advanced undergraduates majoring in economics, engineering, finance, or
another quantitative field. Ketegori : RISK MANAGEMENT