000 01194nam a22003375a 4500
005 20250918151428.0
008 120323s2011 ykca b 001 0 eng
020 _a9780470669433
_cRM217.00
020 _a0470669438
039 9 _a201206061715
_blan
_c201204232138
_dsanusi
_y03-23-2012
_zlatihan
040 _aUKM
090 _aHD61.D343
090 _aHD61
_b.D343
100 1 _aDanielsson, Jon.
245 1 0 _aFinancial risk forecasting :
_bthe theory and practice of forecasting market risk, with implementation in R and Matlab /
_cJon Danielsson.
260 _aChichester :
_bJohn Wiley,
_c2011.
300 _axxi, 274 p. :
_bill. ;
_c25 cm.
490 1 _aWiley finance series.
500 _aFormerly CIP.
_5Uk
504 _aIncludes bibliographical references and index.
650 0 _aFinancial risk management
_xForecasting.
650 0 _aFinancial risk management
_xSimulation methods.
830 0 _aWiley finance series.
907 _a.b15288754
_b2021-05-28
_c2019-11-12
942 _c01
_n0
_kHD61.D343
914 _avtls003492708
990 _arab
991 _aFakulti Ekonomi dan Pengurusan
998 _at
_b2012-10-03
_cm
_da
_feng
_gykc
_y0
_z.b15288754
999 _c512759
_d512759