Portfolio Analytics : An Introduction to Return and Risk Measurement /
Guardado en:
| 主要作者: | |
|---|---|
| 格式: | 圖書 |
| 語言: | 英语 |
| 出版: |
Cham, Suiza :
Springer,
2013, c2013
|
| 叢編: | (Springer Texts in Business and Economics)
|
| 在線閱讀: | Ver documento en línea |
| 標簽: |
沒有標簽, 成為第一個標記此記錄!
|
相似書籍: Portfolio Analytics :
- Active Portfolio Management : A Quantitative Approach for Providing Superior Returns and Controlling Risk /
- Risk Management in Credit Portfolios : Concentration Risk and Basel II /
- Risk Management for Cryptocurrency Portfolios. De Gruyter. /
- Practical Portfolio Performance : Measurement and Attribution /
- Risk Management for Cryptocurrency Portfolios /
- Volume Based Portfolio Strategies : Analysis of the Relationship between Trading Activity and Expected Returns in the Cross-Section of Swiss Stock /