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Financial Market Risk: Measurement and Analysis
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Financial Market Risk: Measurement and Analysis Open ebook -

by Cornelis Los


Details

  • Title Financial Market Risk: Measurement and Analysis
  • Author Cornelis Los
  • Binding Open Ebook
  • Pages 496
  • Volumes 1
  • Language ENG
  • Publisher Routledge
  • ISBN 9781134469321 / 1134469322

About the author

Cornelis A. Los is Associate Professor of Finance at Kent State University, USA. In the past he has been a Senior Economist of the Federal Reserve Bank of New York and of Nomura Research Institute (America), Inc., and Chief Economist of ING Bank, New York. He has also been a Professor in Finance at Nanyang Technological University in Singapore and at Adelaide and Deakin Universities in Australia.