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Risk and Asset Allocation

- 2005. Corr. 3rd

  • Format
  • Bog, paperback
  • Engelsk

Beskrivelse

Discusses in the practical and theoretical aspects of one-period asset allocation, i.e. market Modeling, invariants estimation, portfolia evaluation, and portfolio optimization in the prexence of estimation riskThe book is software based, many of the exercises simulate in Matlab the solution to practical problems and can be downloaded from the book's web-site

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Detaljer
Størrelse og vægt
  • Vægt848 g
  • Dybde2,9 cm
  • coffee cup img
    10 cm
    book img
    15,5 cm
    23,5 cm

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