adicionar à lista de desejos
Postmodern Portfolio Theory
Navigating Abnormal Markets And Investor Behavior
idioma: inglês
Editor:
Palgrave Macmillan, agosto de 2016 ‧
ver detalhes do produto
148,70€
10% DESCONTO
CARTÃO
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
portes grátis
Venda o seu livro
SINOPSE
This survey of portfolio theory, from its modern origins through more sophisticated, “postmodern†incarnations, evaluates portfolio risk according to the first four moments of any statistical distribution: mean, variance, skewness, and excess kurtosis.
DETALHES
| Propriedade | Descrição |
|---|---|
| ISBN: | 9781137544636 |
| Editor: | Palgrave Macmillan |
| Data de Lançamento: | agosto de 2016 |
| Idioma: | Inglês |
| Dimensões: | 148 x 210 x 20 mm |
| Encadernação: | Capa dura |
| Páginas: | 339 |
| Tipo de produto: | Livro |
| Coleção: | Quantitative Perspectives On Behavioral Economics And Finance |
| Classificação Temática: |
Livros em Inglês
>
Economia, Finanças e Contabilidade
>
Economia
|
| EAN: | 9781137544636 |
LIVROS DA MESMA COLEÇÃO
-
eBook10%Illustrating Finance Policy With MathematicaSpringer International Publishing98,71€ 10% CARTÃO
-
eBook10%Multi-Market Antitrust EconomicsSpringer International Publishing66,24€ 10% CARTÃO
-
10%Finance And The Behavioral ProspectSpringer International Publishing AG121,66€ 10% CARTÃOportes grátis
-
10%Econophysics And Capital Asset PricingSpringer International Publishing AG148,70€ 10% CARTÃOportes grátis