Portfolio Analytics : An Introduction to Return and Risk Measurement /
Tallennettuna:
| Päätekijä: | |
|---|---|
| Aineistotyyppi: | Kirja |
| Kieli: | englanti |
| Julkaistu: |
Cham, Suiza :
Springer,
2013, c2013
|
| Sarja: | (Springer Texts in Business and Economics)
|
| Linkit: | Ver documento en línea |
| Tagit: |
Ei tageja, Lisää ensimmäinen tagi!
|
Samankaltaisia teoksia: Portfolio Analytics :
- Risk Management in Credit Portfolios : Concentration Risk and Basel II /
- Active Portfolio Management : A Quantitative Approach for Providing Superior Returns and Controlling Risk /
- Practical Portfolio Performance : Measurement and Attribution /
- Volume Based Portfolio Strategies : Analysis of the Relationship between Trading Activity and Expected Returns in the Cross-Section of Swiss Stock /
- Practical Portfolio Performance Measurement and Attribution /
- Portfolio Management with Heuristic Optimization /