Alexander, Carol
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Other Identifiers
Sources of Information
- [Editor of Handbook of risk management & analysis]
- Handbook of risk management & analysis, 1996:CIP t.p. (Carol Alexander)
- Risk management and analysis, c1998:v. 1, p. xiii (Ph.D., algebraic number theory; B.Sc., math./exper. psych. & M.Sc., econometrics/mathematical economics, London Sch. of Economics; worked at Gemente Universiteit (Amsterdam) and UBS Phillips and Drew in London before joining fac. of U. of Sussex, 1985; 1990- consulting, training, writing, devel. software; 1996- dir./hd. market risk modelling, Nikko Global Holdings, retains visiting fellowship, U. of Sussex)
- [Editor of Crochet for caring & sharing]
- Crochet for caring & sharing, c2004:t.p. (Carol Alexander)
Wikipedia description:
Carol Olivia Alexander is a British financial mathematician and academic. She is a professor of finance at the University of Sussex, known for her research on financial markets, derivatives, and risk management. She is the author of the four-volume textbook Market Risk Analysis (2008), which is widely cited in the field.
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