Computer Simulation in Financial Risk Management:A Guide for Business Planners and Strategists '91
Nersesian, Roy L.
著
発行年月 |
1991年04月 |
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出版国 |
アメリカ合衆国 |
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言語 |
英語 |
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媒体 |
冊子 |
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装丁 |
hardcover |
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ページ数/巻数 |
240 p. |
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ジャンル |
洋書/社会科学/経営学/経営情報 |
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ISBN |
9780899305783 |
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商品コード |
0209010251 |
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商品URL
| https://kw.maruzen.co.jp/ims/itemDetail.html?itmCd=0209010251 |
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内容
Aimed both at generalists in corporations and financial institutions andcomputer programmers, this work describes why current methods of riskmanagement fail and how computer simulation can be employed to determine thesafe level of debt more accurately.