
Introduction to Mathematical Portfolio Theory
International Series on Actuarial Science
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Omtale
A concise yet comprehensive guide to the mathematics of portfolio theory from a modelling perspective, with discussion of the assumptions, limitations and implementations of the models as well as the theory underlying them. Aimed at advanced undergraduates, this book can be used for self-study or as a course text.
Detaljer
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Utgivelsesdato:
11.07.2013
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ISBN:
9781107042315
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Språk:
, Engelsk
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Forlag:
Cambridge University Press -
Fagtema:
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Serie:
International Series on Actuarial Science
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Litteraturtype:
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Sider:
325
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Høyde:
23.6 cm
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Bredde:
15.5 cm