Practical Spreadsheet Risk Modeling for Management

管理中的计量风险建模

货币银行学

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出  版 社
出版时间
2011年09月08日
装      帧
精装
ISBN
9781439855522
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页      码
288
开      本
6-1/8x9-1/4
语      种
英文
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图书简介
This book offers a one-stop resource for performing quantitative risk analyses. The authors provide practical case studies along with detailed instruction and illustration of the features of ModelRisk®, the most advanced risk modeling spreadsheet software currently available. The specific examples in the text demonstrate a number of cutting-edge tools and techniques that are very powerful in risk analysis but are not available in other spreadsheet simulation programs. The book covers modeling complex correlations, aggregating uncertainty and variability, and estimating parameter and model uncertainty.
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