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Quantitative Financial Risk Management: Theory and Practice
book

Quantitative Financial Risk Management: Theory and Practice

by Constantin Zopounidis, Emilios Galariotis
May 2015
Beginner
448 pages
12h 17m
English
Wiley
Content preview from Quantitative Financial Risk Management: Theory and Practice

About the Editors

Constantin Zopounidis is professor of Financial Engineering and Operations Research at Technical University of Crete in Greece, distinguished research professor at Audencia Nantes, School of Management (EQUIS, AMBA, AACSB) in France, senior academician of the Royal Academy of Doctors and the Royal Academy of Economics and Financial Sciences of Spain, and elected president of the Financial Engineering and Banking Society (FEBS).

His research interests include financial engineering, financial risk management, and multiple-criteria decision making. He has edited and authored more than 70 books in international publishers and more than 450 research papers in scientific journals, edited volumes, conference proceedings, and encyclopedias in the areas of finance, accounting, operations research, and management science. Prof. Zopounidis is editor-in-chief and member of the editorial board of several international journals. In recognition of his scientific work, he has received several awards from international research societies.

Emilios Galariotis is professor of Finance at Audencia Nantes School of Management (AMBA, EQUIS, AACSB) in France. He is the founder and director of the Centre for Financial and Risk Management (CFRM) and head of research in the area of Finance, Risk, and Accounting Performance at Audencia.

His academic career started at Durham University and head of research in the area of Finance, Risk, and Accounting Performance as well as co-chair of the ...

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Publisher Resources

ISBN: 9781118738184Purchase book