Your search returned 2 results.

1.
Portfolio management under stress: A Bayesian-net approach t

by Rebonato, Riccardo | Denev, Alexander.

Material type: Text Text Publisher: Cambridge,Cambridge Uni Pr,2013Availability: Items available for loan: Call number: 332.6015118/REB (1).

2.
Portfolio analytics: An Introduction to return and risk meas

by Marty, Wolfgang.

Material type: Text Text Publisher: Cham,Springer-Verlag,2013Availability: Items available for loan: Call number: 332.6015118/MAR (1).


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