Central Bank of Nigeria Library

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Risk and financial management : mathematical and computational methods /

By: Material type: TextTextPublication details: Chichester, West Sussex ; Hoboken, NJ : John Wiley, c2004.Description: xv, 341 pISBN:
  • 0470849088
  • 9780470849088
Subject(s): DDC classification:
  • 658.15'5'015192 TAP
LOC classification:
  • HG106 .T365 2004
Online resources: Summary: The book is ideally suited to both students of mathematical finance with little background in economics and finance, and students of financial risk management, as well as finance practitioners requiring a clearer understanding of the mathematical and computational methods they use every day. It combines the required level of rigor to support the theoretical developments, with a practical flavour through many examples and applications.
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Holdings
Item type Current library Collection Call number Copy number Status Date due Barcode
Monograph & others Monograph & others CBN BAUCHI BRANCH LIBRARY General Stacks Non-fiction 658.15'5'015192 TAP (Browse shelf(Opens below)) c.1 Available 31008100386057
Monograph & others Monograph & others CBN ENUGU BRANCH LIBRARY General Stacks Non-fiction 658.15'5'015192 TAP (Browse shelf(Opens below)) c. 1 Available 31008100781976
Monograph & others Monograph & others CBN HQ Library General Stacks Non-fiction 658.15’5'015192 TAP (Browse shelf(Opens below)) c.1 Available 31008100011291
Monograph & others Monograph & others CBN HQ Library General Stacks Non-fiction 658.15’5'015192 TAP (Browse shelf(Opens below)) c.2 Available 31008100011309
Monograph & others Monograph & others CBN LAGOS LAISON OFFICE LIBRARY General Stacks 658.15'5'015192 TAP (Browse shelf(Opens below)) c.1 Available 31008100697974
Monograph & others Monograph & others CBN LAGOS LEARNING CENTRE LIBRARY General Stacks Non-fiction 658.15'5'015192 TAP (Browse shelf(Opens below)) c.1 Available 31008100707823

Includes bibliographical references and index.

The book is ideally suited to both students of mathematical finance with little background in economics and finance, and students of financial risk management, as well as finance practitioners requiring a clearer understanding of the mathematical and computational methods they use every day. It combines the required level of rigor to support the theoretical developments, with a practical flavour through many examples and applications.

rpm 31/05/13

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