Encyclopedia Of Financial Models, 3 Volume Set

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    Encyclopedia of Financial Models, 3 Volume Set
    By: Frank J. Fabozzi CFA
    Publisher:
    John Wiley & Sons P&T
    Print ISBN: 9781118006733, 1118006739
    eText ISBN: 9781118539804, 111853980X
    Pages: 2100
    Format: PDF
    Available from $ 827.04 USD
    SKU 9781118539804R120
    Frank Fabozzi follows up his successful Handbook of Finance with another major reference work, The Encyclopedia of Financial Models. This three-volume series on financial modeling covers the two major topical areas: asset valuation for cash and derivative instruments, and portfolio modeling. In addition, Fabozzi covers the critical background tools from mathematics, probability theory, statistics, and operations research needed to understand these complex models. Organized alphabetically by category (think: phone book), this book gives readers easy and quick access to specific topics sorted by an applicable category (Asset Allocation, Credit Risk Modeling, Statistical Tools, etc).
     

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