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  • Didier Sornette; Sergey Ivliev; Hilary Woodard
    978-3-642-27931-7
    2012
    Edition 1
    • More than 20 articles addressing the most demanded topics in market risk management from crashes modeling to Basel III backtesting
    • A special chapter on psychological interactions analysis in trading and risk management process
    • Includes the look from the industry to turn a mind on the questions of top-managers that wait to be answered
    • Includes supplementary material: sn.pub/extras

    €260

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