language: english
Publisher: CAMBRIDGE UNIVERSITY PRESS, August of 2014 ‧
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With its focus on examples, exercises and calculations this book suits advanced undergraduates as well as postgraduates and practitioners. It provides a rigorous treatment of the underlying theory and equips the reader to handle risk assessments in modern finance. Solutions and additional material are available at www.cambridge.org/9781107003675.

Portfolio Theory And Risk Management

by Maciej J. (Agh University Of Science And Technology, Krakow) Capinski e Ekkehard (University Of Hull) Kopp

Property Description
ISBN: 9780521177146
Publisher: CAMBRIDGE UNIVERSITY PRESS
Release Date: August of 2014
Language: English
Cover: Softcover
Pages: 169
Format: Book
Collection: Mastering Mathematical Finance
Categories: Books in English > Economics, Finance and Accounting > Finances
EAN: 9780521177146

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