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Portfolio Management under Stress
Riccardo RebonatoAlexander DenevEkonomi & ledarskapPortfolio Management under Stress offers a novel way to apply the well-established Bayesian-net methodology to the important problem of asset allocation under conditions of market distress or, more generally, when an investor believes that a parti...
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| ISBN | 9781107048119 |
| Språk | sv |
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Portfolio Management under Stress offers a novel way to apply the well-established Bayesian-net methodology to the important problem of asset allocation under conditions of market distress or, more generally, when an investor believes that a parti...