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