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Pages: 518, Paperback, Independently published
Prices were last updated on: 05-06-2026, 08:11
Independently Published
Climate Risk Analytics for Financial Institutions: Scenario Analysis, Stress Testing, and Portfolio Exposure Modeling
Factor Models in Quantitative Finance: Multi Risk Modeling and Portfolio Analysis
Adaptive Optimization and Numerical Systems in Quant Finance: Portfolio Dynamics, Market Microstructure...
Financial Modeling with Python: Practical Guide to Data Analysis, Portfolio Management, and Risk
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