Engineering Risk and Finance

Author:   Charles S. Tapiero
Publisher:   Springer-Verlag New York Inc.
Edition:   2013 ed.
Volume:   188
ISBN:  

9781489988485


Pages:   508
Publication Date:   08 February 2015
Format:   Paperback
Availability:   Manufactured on demand   Availability explained
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Engineering Risk and Finance


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Full Product Details

Author:   Charles S. Tapiero
Publisher:   Springer-Verlag New York Inc.
Imprint:   Springer-Verlag New York Inc.
Edition:   2013 ed.
Volume:   188
Dimensions:   Width: 15.50cm , Height: 2.70cm , Length: 23.50cm
Weight:   7.898kg
ISBN:  

9781489988485


ISBN 10:   1489988483
Pages:   508
Publication Date:   08 February 2015
Audience:   Professional and scholarly ,  Professional & Vocational
Format:   Paperback
Publisher's Status:   Active
Availability:   Manufactured on demand   Availability explained
We will order this item for you from a manufactured on demand supplier.

Table of Contents

Risk: The Convergence.- Risk Management Everywhere.- Probability Elements: An Applied Refresher.- Multivariate Probability Distributions: Applications and Risk Models.- Temporal Risk Processes.- Risk Measurement.- Risk Valuation.- Risk Economics and the Extended CCAPM.- Risk Pricing Models: Applications.- Uncertainty Economics.- Strategic Risk Control and Regulation.- Games, Risk, and Uncertainty.

Reviews

From the book reviews: This is an encyclopedic book on risk management in finance. Intended as a background text for undergraduate and graduate courses in risk finance and in risk engineering and management, yet unlike many textbooks, this book uses an interdisciplinary approach in the sense that it attempts to view risks as faced by many disciplines. As such, it can be used as a reference book for professionals and practitioners with diverse backgrounds. (Youngna Choi, Mathematical Reviews, May, 2014) The book is recommended as an undergraduate and graduate text in risk finance, risk engineering and management, as well as for professionals that are both concerned and experienced in risk assessment and management techniques. (George Stoica, zbMATH, Vol. 1272, 2013)


From the book reviews: This is an encyclopedic book on risk management in finance. Intended as a background text for undergraduate and graduate courses in risk finance and in risk engineering and management, yet unlike many textbooks, this book uses an interdisciplinary approach in the sense that it attempts to view risks as faced by many disciplines. As such, it can be used as a reference book for professionals and practitioners with diverse backgrounds. (Youngna Choi, Mathematical Reviews, May, 2014) The book is recommended as an undergraduate and graduate text in risk finance, risk engineering and management, as well as for professionals that are both concerned and experienced in risk assessment and management techniques. (George Stoica, zbMATH, Vol. 1272, 2013)


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