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Palgrave Macmillan Financial Risk Management Quantitative

Original price was: $95.20.Current price is: $93.30.

This Palgrave Macmillan book provides comprehensive insights into financial risk management and quantitative finance, featuring 433 pages of expert content. It supports enhanced typesetting and screen readers for accessible learning. Ideal for finance professionals and students seeking advanced risk analysis techniques.

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SKU: CJ91WMB00TXT Category:
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Description

Product Overview

This Palgrave Macmillan publication, part of the Applied Quantitative Finance series, offers an in-depth exploration of financial risk management. With 433 pages of expert content, it covers advanced quantitative methods and practical applications in finance. The book is available in English and supports features like enhanced typesetting and screen readers, making it accessible for various learning preferences. Key specifications include a file size of 10.1 MB, ISBN-13 978-1137448200, and publication date April 27, 2015, ensuring up-to-date relevance in the financial sector.

'Financial Risk Management book cover with quantitative charts'

Usage

This book is designed for finance professionals, risk managers, and students in quantitative finance programs. It is suitable for academic courses, professional development, and self-study in environments like universities, corporate training sessions, and home offices. The content addresses real-world risk analysis scenarios, helping users apply quantitative techniques to manage financial uncertainties effectively.

Why Choose Us

This product stands out due to its authoritative content from Palgrave Macmillan, a trusted publisher in academic and professional circles. It integrates cutting-edge quantitative finance theories with practical risk management strategies, backed by positive customer reviews averaging 4.4 stars. The digital format ensures portability and compatibility with various devices, offering reliable quality and ease of use for serious learners.

Key Features

  • Comprehensive coverage of financial risk management and quantitative methods
  • Enhanced typesetting for improved readability and navigation
  • Screen reader support to accommodate diverse accessibility needs
  • Part of the Applied Quantitative Finance series for structured learning
  • Digital format with 433 pages for convenient, on-the-go access

FAQ

What topics does this book cover?

It focuses on financial risk management, quantitative finance techniques, and practical applications in risk analysis, including models and strategies used in the industry.

Is this book suitable for beginners?

It is geared towards intermediate to advanced learners, such as finance students and professionals, with prior knowledge of quantitative methods recommended.

Does it support accessibility features?

Yes, it includes screen reader support and enhanced typesetting to assist users with visual or reading impairments.

Can I use this on multiple devices?

The digital format allows compatibility with Kindle and other supported e-readers, enabling access across devices with your account.

How current is the content?

Published in 2015, it incorporates relevant quantitative finance principles, though users may supplement with newer research for the latest trends.

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