Asymmetric Dependence in Finance : Diversification, Correlation and Portfolio Management in Market Downturns /
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| Altri autori: | |
| Natura: | Libro |
| Lingua: | inglese |
| Pubblicazione: |
Hoboken, EUA :
Wiley,
2018, c2018
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| Serie: | (Wiley Finance)
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| Soggetti: | |
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| 100 | |a Alcock, Jamie |e (edición) | ||
| 245 | 1 | 0 | |a Asymmetric Dependence in Finance : |b Diversification, Correlation and Portfolio Management in Market Downturns / |c Ed. de J. Alcock, A. Scowcroft. |
| 264 | 4 | |a Hoboken, EUA : |b Wiley, |c 2018, c2018 | |
| 300 | |a XIV, 296 p. : |b tapa dura | ||
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| 521 | |a 2021 BO Licenciatura en Administración Financiera | ||
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| 650 | |a Mercado de Capitales | ||
| 650 | |a Mercado de Valores | ||
| 650 | |a Sistema Financiero | ||
| 650 | |a Finanzas | ||
| 650 | |a Economía | ||
| 700 | |a Scowcroft, Alan |e (edición) | ||
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