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Beschreibung
The editor has chosen to concentrate on advances in quantitative asset management and, accordingly, the papers in this book are organized around two major themes: advances in asset allocation and portfolio management, and modelling risk, return and correlation.
Details
| Verlag | Springer US |
| Ersterscheinung | 30. April 2000 |
| Maße | 23.5 cm x 15.5 cm |
| Gewicht | 1510 Gramm |
| Format | Hardcover |
| ISBN-13 | 9780792377788 |
| Auflage | 2000 |
| Seiten | 342 |