Simulation techniques in financial risk management. 2nd ed. (English) Zbl 1409.91001
Statistics in Practice. Hoboken, NJ: John Wiley & Sons (ISBN 978-1-118-73581-7/hbk; 978-1-118-73595-4/ebook). xviii, 205 p. (2015).
Reviewer: Jan Pospíšil (Plzeň)