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International Financial Risk Management Using R
Rangga Handika
International Financial Risk Management Using R
Rangga Handika
R is a versatile open-source statistical software package that can be used in the implementation of international financial risk management.
International Financial Risk Management Using R offers a thorough examination of how to apply R to risk management assessment. Beginning with a brief overview of financial foundations and R fundamentals, author Rangga Handika takes you through the risk management process and demonstrates how R provides the tools needed for
quantifying risk, modeling volatility, assessing corporate finance risk, adapting to foreign exchange risks, interpreting interest rate changes, and analyzing stock market risks.
Each chapter offers explanations of theory, questions, problems, and R applications. Handika supports these concepts and theoretical applications with a final chapter devoted to real-world risk management case studies.
A comprehensive and straightforward risk management textbook for graduate courses and advanced undergraduate students in finance, International Financial Risk Management Using R also serves as a convenient reference tool for risk management practitioners seeking to apply R to their own tasks.
R is a rare jewel in the business world-a free but powerful software package that delivers actionable results. Take advantage of it.
Media | Books Paperback Book (Book with soft cover and glued back) |
Released | October 10, 2017 |
ISBN13 | 9781547001934 |
Publishers | Createspace Independent Publishing Platf |
Pages | 230 |
Dimensions | 216 × 279 × 15 mm · 748 g |
Language | English |
See all of Rangga Handika ( e.g. Paperback Book )