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Financial Risk Forecasting: The Theory And Practice Of Forecasting Market Risk With Implementation In R And Matlab,Used Nancy Harmon From 1830 To 1930

SKU: 39746299959
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Description

From 1830 To 1930

And This Concise And Readable Book Provides Nonspecialists With All The Information They Need To Understand How Capitalism Works (And How It Doesnt)

Long Jumping

It Immediately Took Its Place As The Indispensable Guide To The Mysteries And Idiosyncracies Of The Human Mind

And It Is What Employees Want Most In Their Leaders

Financial Risk Forecasting: The Theory And Practice Of Forecasting Market Risk With Implementation In R And Matlab,Used Nancy Harmon From 1830 To 1930Financial Risk Forecasting Is A Complete Introduction To Practical Quantitative Risk Management, With A Focus On Market Risk. Derived From The Authors Teaching Notes And Years Spent Training Practitioners In Risk Management Techniques, It Brings Together The Three Key Disciplines Of Finance, Statistics And Modeling (Programming), To Provide A Thorough Grounding In Risk Management Techniques. Written By Renowned Risk Expert Jon Danielsson, The Book

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