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Carol Alexander
AuthorBooks · Second handSince 1955
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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About Carol Alexander
Birth
1955
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.
Carol Alexander is a prominent financial mathematician born in London in 1955.
Her extensive academic career includes roles as a university professor, economist, and financial analyst.
She is the author of 81 works, including fundamental titles such as Market Risk Analysis and Value at Risk Models.
Her work focuses on complex topics such as risk management, hedging, and portfolio management.
Beyond finance, she has a creative interest in patterns and the art of crocheting.







