Portfolio theory and risk management

By: Capinski, Maciej JContributor(s): Kopp, EkkehardMaterial type: TextTextSeries: Mastering mathematical financePublisher: Cambridge,Cambridge Uni Pr,2014Description: x; 160pISBN: 9780521177146Subject(s): Risk management | Portfolio management | Investment analysis | Financial economics | EconomicsDDC classification: 332.6/CAP
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