Πρότυπο:MAM142-Biblio: Διαφορά μεταξύ των αναθεωρήσεων
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(Νέα σελίδα με '* Anderson EJ (2014). Business Risk Management: Models and Analysis. Wiley * Boudoukh A., J., A. Saunders (2009) Understanding Market, Credit, and Operational Risk: The Value at Risk Approach Linda, Wiley-Blackwell * McNeil, A.J., R. Frey and P. Embrechts, (2005) Quantitative Risk Management, Princeton University Press, New Jersey * [Περιοδικό] Risk Management') |
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* Boudoukh A., J., A. Saunders (2009) Understanding Market, Credit, and Operational Risk: The Value at Risk Approach Linda, Wiley-Blackwell | * Boudoukh A., J., A. Saunders (2009) Understanding Market, Credit, and Operational Risk: The Value at Risk Approach Linda, Wiley-Blackwell | ||
* McNeil, A.J., R. Frey and P. Embrechts, (2005) Quantitative Risk Management, Princeton University Press, New Jersey | * McNeil, A.J., R. Frey and P. Embrechts, (2005) Quantitative Risk Management, Princeton University Press, New Jersey | ||
* [Περιοδικό] Risk Management | * [Περιοδικό / Journal] Risk Management |
Τελευταία αναθεώρηση της 17:03, 28 Αυγούστου 2022
- Anderson EJ (2014). Business Risk Management: Models and Analysis. Wiley
- Boudoukh A., J., A. Saunders (2009) Understanding Market, Credit, and Operational Risk: The Value at Risk Approach Linda, Wiley-Blackwell
- McNeil, A.J., R. Frey and P. Embrechts, (2005) Quantitative Risk Management, Princeton University Press, New Jersey
- [Περιοδικό / Journal] Risk Management