Portfolio Theory and Risk Management
Häftad, Engelska, 2014
Av Krakow) Capinski, Maciej J. (AGH University of Science and Technology, Ekkehard (University of Hull) Kopp, Maciej J. Capiński, Ekkehard Kopp, Maciej J. Capinski, Maciej J. Capi¿ski
649 kr
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Fri frakt för medlemmar vid köp för minst 249 kr.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.
Produktinformation
- Utgivningsdatum2014-08-07
- Mått151 x 229 x 9 mm
- Vikt286 g
- FormatHäftad
- SpråkEngelska
- SerieMastering Mathematical Finance
- Antal sidor169
- FörlagCambridge University Press
- ISBN9780521177146