Portfolio analytics: An Introduction to return and risk meas

By: Marty, WolfgangMaterial type: TextTextSeries: Springer texts in business and economicsPublisher: Cham,Springer-Verlag,2013Description: xii; 200pISBN: 9783319035086Subject(s): Risk-Mathematical models | Investments-Mathematical models | Portfolio management-Mathematical models | Financial economics | EconomicsDDC classification: 332.6015118/MAR
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