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Computational Methods for Risk Management in Economics and Finance

Computational Methods for Risk Management in Economics and Finance

Paperback (02 Apr 2020)

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Publisher's Synopsis

At present, computational methods have received considerable attention in economics and finance as an alternative to conventional analytical and numerical paradigms. This Special Issue brings together both theoretical and application-oriented contributions, with a focus on the use of computational techniques in finance and economics. Examined topics span on issues at the center of the literature debate, with an eye not only on technical and theoretical aspects but also very practical cases.

Book information

ISBN: 9783039284986
Publisher: Mdpi AG
Imprint: Mdpi AG
Pub date:
Language: English
Number of pages: 234
Weight: 518g
Height: 170mm
Width: 243mm
Spine width: 21mm