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(Hardback)

By: Gregory Connor

ISBN: 9780691128283
Readership/Audience: Tertiary Education
Publication Date: Apr 2010
Publisher: Princeton University Press
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Presents an overview of financial risk modeling, with a focus on practical applications, empirical reality, and historical perspective. Covering the mean-variance analysis and the capital asset pricing model, this title offers an account of factor models, which are the key to successful risk analysis in every economic climate.