Credit Risk

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Modelling credit risk accurately is central to the practice of mathematical finance. The majority of available texts are aimed at an advanced level, and are more suitable for PhD students and researchers. This volume of the Mastering Mathematical Finance series addresses the need for a course intended for master''s students, final-year undergraduates, and practitioners. The book focuses on the two...
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Modelling credit risk accurately is central to the practice of mathematical finance. The majority of available texts are aimed at an advanced level, and are more suitable for PhD students and researchers. This volume of the Mastering Mathematical Finance series addresses the need for a course intended for master''s students, final-year undergraduates, and practitioners. The book focuses on the two...
Read more
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  • Formats: pdf
  • ISBN: 9781316862278
  • Publication Date: 14 Nov 2016
  • Publisher: Cambridge University Press
  • Product language: English
  • Drm Setting: DRM