Book Risk analysis, modeling, and management

Real title: Аналіз, моделювання та управління ризиками
Product code: 460202

Book Risk analysis, modeling, and management

Real title: Аналіз, моделювання та управління ризиками
Product code: 460202
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From the publisher:

The textbook provides basic information about economic risks, classification and characterisation of risks arising in various areas of business. Risk analysis and methods of its assessment are considered. Considerable attention is paid to decision-making, in particular, the choice of an optimal strategy in the face of risk, which is based on game theory and methods of risk management. The textbook also describes ways and means of reducing the impact of risk.

Aimed at students of economic specialities of higher education institutions, namely those studying in the areas of Economics and Entrepreneurship and Management; teachers, economists, managers, employees of investment funds, banks, insurance companies and anyone interested in risk issues.

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Number of pages
270 с. (таблиці, схеми)
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Оплата карткою "ДІЯ єКнига (виплата на 18-ліття) - 998,40 грн"
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