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HOME > BOOK SERIES > FINANCIAL ENGINEERING AND RISK MANAGEMENTS
FINANCIAL ENGINEERING AND RISK MANAGEMENTS
(ISSN: 2251-2934)

Series Editor

John R Birge
University of Chicago Graduate School of Business
Chicago, IL 60637
USA

This Series will publish original monographs, textbooks, and edited volumes that address current topics in the theory, computation, and practice of financial engineering and risk management. By publishing works with both solid analytical foundations and relevant applications, the Series aims to promote interactions between academic researchers and practicing financial, analytic, and risk professionals in this rapidly expanding field. Topic considered for the series will include the full range of financial engineering activities including the pricing of derivatives; design and analysis of new financial products and securitizations; development of hedging and trading strategies; management of various risk categories including market, credit, operational, strategic, hazard, environmental, and enterprise risks; portfolio optimization; asset-liability management; real-option valuation; and applications including the insurance, energy, commodity, and network industries.


Published title

Vol. 1
Enterprise Risk Management
by David L Olson & Desheng Dash Wu


Forthcoming titles

Vol. 2
Options on Extremes and Averages
by Farid AitSahlia

Vol. 3
Winning with Risk Management
by Russell Walker


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Copyright © 2012 World Scientific Publishing Co. All rights reserved.
Updated on 13 February 2012