Mastering Value Risk: A step-by-step guide to understanding & applying VAR (The Mastering)

by Cormac Butler

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  The estimation of potential losses that could arise from adverse changes in market conditions is a key element of risk management.  For financial institutions and corporate treasuries across the world, Value at Risk (VaR) is rapidly emerging as the dominant methodology for estimating precisely how much money is at risk each day in the financial markets. However, the communication and application of VaR is a field in which the signal to noise ratio is not high.  there is neither a widespread intuitive understanding of VaR in the market, nor an appreciation of the practicalities of its implementation and limitations.  Mastering Value at Risk will close that knowledge gap, introducing this potentially powerful methodology to those most in need of its benefits, and helping all those who encounter VaR to use it wisely.
  • ISBN10 0273637525
  • ISBN13 9780273637523
  • Publish Date 28 October 1998
  • Publish Status Out of Print
  • Out of Print 15 March 2021
  • Publish Country GB
  • Imprint Financial Times Prentice Hall
  • Format Paperback
  • Pages 256
  • Language English