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Managing Downside Risk In Financial Markets eBook

language: english
Publisher: ELSEVIER SCIENCE, September of 2001 ‧
111,30€
89,04€
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Demonstrates how downside-risk can produce better results in performance measurement and asset allocation than variance modeling. This book outlines the major issues for Investment Managers and focuses on 'downside-risk' as a key activity in managing risk in investment/portfolio management.

Managing Downside Risk In Financial Markets

Property Description
ISBN: 9780080496207
Publisher: ELSEVIER SCIENCE
Release Date: September of 2001
Language: English
Format: eBook
File Format and Compatibility: PDF para ADE
Collection: Quantitative Finance
Categories: eBooks in English > Economics, Finance and Accounting > Finances
EAN: 9780080496207

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