Price loading...

McGraw-Hill Education Value at Risk, 3rd Ed.: The New Benchmark for Managing Financial Risk (GENERAL FINANCE & INVESTING)

Price data last checked 103 day(s) ago - refreshing...

View at Amazon

Price History & Forecast

No Price Data Available

Price history will appear here once data is collected from Amazon.

Price Distribution

No price data available for histogram

Description

Since its original publication, Value at Risk has become the industry standard in risk management. Now in its Third Edition, this international bestseller addresses the fundamental changes in the field that have occurred across the globe in recent years. Philippe Jorion provides the most current information needed to understand and implement VAR-as well as manage newer dimensions of financial risk. Featured updates include: An increased emphasis on operational risk Using VAR for integrated risk management and to measure economic capital Applications of VAR to risk budgeting in investment management Discussion of new risk-management techniques, including extreme value theory, principal components, and copulas Extensive coverage of the recently finalized Basel II capital adequacy rules for commercial banks, integrated throughout the book A major new feature of the Third Edition is the addition of short questions and exercises at the end of each chapter, making it even easier to check progress. Detailed answers are posted on the companion web site www.pjorion.com/var/. The web site contains other materials, including additional questions that course instructors can assign to their students. Jorion leaves no stone unturned, addressing the building blocks of VAR from computing and backtesting models to forecasting risk and correlations. He outlines the use of VAR to measure and control risk for trading, for investment management, and for enterprise-wide risk management. He also points out key pitfalls to watch out for in risk-management systems. The value-at-risk approach continues to improve worldwide standards for managing numerous types of risk. Now more than ever, professionals can depend on Value at Risk for comprehensive, authoritative counsel on VAR, its application, and its results-and to keep ahead of the curve.

Key Features

New

Mint Condition

Dispatch same day for order received before 12 noon

Guaranteed packaging

No quibbles returns

Product Specifications

Format
hardcover
Domain
Amazon UK
Release Date
16 November 2006
Listed Since
29 December 2006

Barcode

No barcode data available

Similar Products You Might Like

Risk Management (PROFESSIONAL FINANCE & INVESTM)
93% match

Risk Management (PROFESSIONAL FINANCE & INVESTM)

McGraw-Hill Education

£70.70 11 Jan 2026
Implementing Value at Risk (Wiley Series in Financial Engineering)
93% match

Implementing Value at Risk (Wiley Series in Financial Engineering)

Wiley

£73.62 08 Mar 2026
Extreme Risk Management: Revolutionary Approaches to Evaluating and Measuring Risk (PROFESSIONAL FINANCE & INVESTM)
93% match

Extreme Risk Management: Revolutionary Approaches to Evaluating and Measuring Risk (PROFESSIONAL FINANCE & INVESTM)

McGraw-Hill Education

£86.47 22 Feb 2026
Bank Valuation and Value Based Management: Deposit and Loan Pricing, Performance Evaluation, and Risk, 2nd Edition (BUSINESS BOOKS)
93% match

Bank Valuation and Value Based Management: Deposit and Loan Pricing, Performance Evaluation, and Risk, 2nd Edition (BUSINESS BOOKS)

McGraw-Hill Education

£97.49 28 Jan 2026
The Essentials of Risk Management, Third Edition
93% match

The Essentials of Risk Management, Third Edition

McGraw-Hill Education

£45.09 08 Jan 2026
Market Risk Analysis: Quantitative Methods in Finance, Practical Financial Econometrics, Pricing, Hedging and Trading Financial Instruments, Value-at-Risk Models
93% match

Market Risk Analysis: Quantitative Methods in Finance, Practical Financial Econometrics, Pricing, Hedging and Trading Financial Instruments, Value-at-Risk Models

Wiley

£144.78 11 Jan 2026
Derivatives: Theory and Practice of Trading, Valuation, and Risk Management (Springer Texts in Business and Economics)
93% match

Derivatives: Theory and Practice of Trading, Valuation, and Risk Management (Springer Texts in Business and Economics)

Springer

£87.43 08 Mar 2026
Corporate Risk Management: Theories and Applications (Wiley Finance)
93% match

Corporate Risk Management: Theories and Applications (Wiley Finance)

Wiley

£48.49 07 Mar 2026
Financial Risk Manager Handbook, + Test Bank: FRM Part I / Part II: 625 (Wiley Finance)
92% match

Financial Risk Manager Handbook, + Test Bank: FRM Part I / Part II: 625 (Wiley Finance)

Wiley

£107.99 19 Nov 2025
Managing Bank Risk: An Introduction to Broad-Base Credit Engineering
92% match

Managing Bank Risk: An Introduction to Broad-Base Credit Engineering

Academic Press

£90.00 07 Mar 2026
Professional's Handbook of Financial Risk Management
92% match

Professional's Handbook of Financial Risk Management

Butterworth-Heinemann

£244.89 10 Dec 2025
Portfolio Risk Analysis
92% match

Portfolio Risk Analysis

Princeton University Press

£94.81 12 Apr 2026
Beyond Value at Risk: The New Science of Risk Management: 95 (Frontiers in Finance Series)
92% match

Beyond Value at Risk: The New Science of Risk Management: 95 (Frontiers in Finance Series)

Wiley

£45.63 28 Feb 2026
Financial Risk Forecasting: The Theory and Practice of Forecasting Market Risk with Implementation in R and Matlab (The Wiley Finance Series)
92% match

Financial Risk Forecasting: The Theory and Practice of Forecasting Market Risk with Implementation in R and Matlab (The Wiley Finance Series)

Wiley

£46.59 05 Feb 2026
Asset and Risk Management: Risk Oriented Finance (The Wiley Finance Series)
92% match

Asset and Risk Management: Risk Oriented Finance (The Wiley Finance Series)

Wiley

£87.99 15 Dec 2025
The Statistical Mechanics of Financial Markets (Theoretical and Mathematical Physics)
92% match

The Statistical Mechanics of Financial Markets (Theoretical and Mathematical Physics)

Springer

£60.79 08 Mar 2026
Market Risk Analysis, Value at Risk Models (The Wiley Finance Series)
92% match

Market Risk Analysis, Value at Risk Models (The Wiley Finance Series)

Wiley

£62.67 09 Dec 2025
Pricing and Trading Interest Rate Derivatives: A Practical Guide to Swaps
92% match

Pricing and Trading Interest Rate Derivatives: A Practical Guide to Swaps

£69.99 30 Jan 2026
Pricing and Trading Interest Rate Derivatives: A Practical Guide to Swaps
92% match

Pricing and Trading Interest Rate Derivatives: A Practical Guide to Swaps

£64.29 30 Jan 2026
Measuring and Managing Credit Risk: Quantitative Approaches for Default Risk/Data Analysis and Models for Loss Distrubutions/Unique Strategies for ... (PROFESSIONAL FINANCE & INVESTM)
92% match

Measuring and Managing Credit Risk: Quantitative Approaches for Default Risk/Data Analysis and Models for Loss Distrubutions/Unique Strategies for ... (PROFESSIONAL FINANCE & INVESTM)

McGraw-Hill Education

£36.55 17 Mar 2026
Risk Management (De Gruyter Textbook)
92% match

Risk Management (De Gruyter Textbook)

De Gruyter Oldenbourg

£44.20 09 Apr 2026
Derivatives and Internal Models: Modern Risk Management (Finance and Capital Markets Series)
92% match

Derivatives and Internal Models: Modern Risk Management (Finance and Capital Markets Series)

MACMILLAN

£65.19 04 Feb 2026
Basel IV: The Next Generation of Risk Weighted Assets
92% match

Basel IV: The Next Generation of Risk Weighted Assets

Wiley

£52.77 12 Jan 2026
Hands-On Value-at-Risk and Expected Shortfall: A Practical Primer (Management for Professionals)
92% match

Hands-On Value-at-Risk and Expected Shortfall: A Practical Primer (Management for Professionals)

Springer

£57.75 10 Feb 2026