Quantitative Risk and Portfolio Management

Theory and Practice

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A modern introduction to risk and portfolio management for advanced undergraduate and beginning graduate students who will become practitioners in the field of quantitative finance, including extensive live data and Python code as online supplements which allow the application of theory to real-world situations.

Specificaties
ISBN/EAN 9781009209045
Auteur Kenneth J. (California Institute of Technology) Winston
Uitgever Van Ditmar Boekenimport B.V.
Taal Engels
Uitvoering Gebonden in harde band
Pagina's 927
Lengte
Breedte

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