Alekhin, E. I. Risk Theory and Modeling of Risk Situations

Alekhin, E. I. Risk Theory and Modeling of Risk Situations

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LF/950308826/R
Russian
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The book is by Alekhin, E. and . Risk Theory and Modeling of Risk Situations”, written by a team of authors led by E. and . Alekhina is a deep and comprehensive study that immerses the reader in the world of risk theory and its practical application in various fields. This work will be an indispensable source of knowledge for both economics and management students and professionals working in areas related to risk analysis, financial markets and strategic management. The book examines key aspects of risk theory, including its definition, types, and methods of assessment. The authors focus on how to correctly identify risks and what tools can help in their analysis and minimization. Each chapter is imbued with examples from real practice, which makes the material not only theoretically sound, but also practically applicable. The reader will be able to see how theoretical concepts are reflected in real situations, which adds special value to the book. Who can like this work? First of all, it will be interesting for students and graduate students studying in the areas of "Economics", "Finance", "Management" and "Statistics" . The book will also be useful to practitioners in the field of financial analysis, risk management and strategic planning. If you are interested in how to make informed decisions in conditions of uncertainty, then this publication will be a real find for you. The topics raised in the book cover a wide range of risk-related issues, from their classification to modelling techniques. The authors emphasize the importance of a systematic approach to risk management, which is especially relevant in the context of modern business, where uncertainties and risks become an integral part of decision-making. The book offers the reader not only theoretical knowledge, but also practical tools that will help in the development of effective risk management strategies. The author's style and collective approach to writing make this book unique. E. and . Alekhine, known for his work in economics and management, created a space for discussion and analysis where each author was able to contribute by enriching the text with new ideas and approaches. This creates a multifaceted view of the problem, allowing the reader to see it from different angles. If you're looking for books on risk management, probability theory, or financial analysis, "Alechin, E. and . Risk Theory and Risk Modeling” will be a great addition to your library. Not only will it expand your knowledge, but it will also help you develop the critical thinking and analytical skills necessary for a successful career in the modern world. In conclusion, this publication is not just a book, but a whole tool for understanding and managing risks in conditions of uncertainty. It encourages the reader to think about how to properly approach risk assessment and make informed decisions. Do not miss the opportunity to immerse yourself in the fascinating world of risk theory and discover new horizons in the field of management!
LF/950308826/R

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Alekhin, E. I. Risk Theory and Modeling of Risk Situations

The book is by Alekhin, E. and . Risk Theory and Modeling of Risk Situations”, written by a team of authors led by E. and . Alekhina is a deep and comprehensive...

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