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Mathematics of banking

Part of the The Wiley Finance Series series
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This publication offers an intermediate guide to the various mathematical techniques used in the banking industry and a consideration of how each one should be approached.

It has extensive coverage and includes techniques such as VaR analysis, Monte Carlo simulation, extreme value theory and variance.

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£70.00
Product Details
Wiley-Blackwell
0470028882 / 9780470028889
eBook (Adobe Pdf)
01/05/2006
England
English
285 pages
168. x 244. mm, 765 grams
Copy: 40%; print: 40%