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Postmodern Portfolio Theory
Navigating Abnormal Markets And Investor Behavior
idioma: inglês
Editor:
Palgrave Macmillan, agosto de 2016 ‧
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148,70€
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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 |
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