Managing Financial Risk Study Guide of Final
Managing Financial Risk Study Guide of Final BU.230.730.53.SP16
Popular in Managing Financial Risk
verified elite notetaker
Popular in Finance
This 3 page Study Guide was uploaded by Kwan on Tuesday May 3, 2016. The Study Guide belongs to BU.230.730.53.SP16 at Johns Hopkins University taught by Nicola Fusari in Spring 2016. Since its upload, it has received 39 views. For similar materials see Managing Financial Risk in Finance at Johns Hopkins University.
Reviews for Managing Financial Risk Study Guide of Final
Report this Material
What is Karma?
Karma is the currency of StudySoup.
You can buy or earn more Karma at anytime and redeem it for class notes, study guides, flashcards, and more!
Date Created: 05/03/16
FINAL 1. CHAPTER 5 Volatility Modeling Using Intraday Data 2. CHAPTER 6 Nonnormal Distributions 3. CHAPTER 7 Covariance and Correlation Models
Are you sure you want to buy this material for
You're already Subscribed!
Looks like you've already subscribed to StudySoup, you won't need to purchase another subscription to get this material. To access this material simply click 'View Full Document'