Satchell, S.
概要
作品: | 1 作品在 1 項出版品 1 種語言 |
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書目資訊
The analytics of risk model validation
by:
Christodoulakis, George.; Satchell, S.; ScienceDirect (Online service)
(書目-電子資源)
Return distributions in finance
by:
Knight, John L.; Satchell, S.; ScienceDirect (Online service)
(書目-電子資源)
Optimizing optimizationthe next generation of optimization applications and theory /
by:
Satchell, S.
(書目-電子資源)
Managing downside risk in financial marketstheory, practice and implementation /
by:
Satchell, S.; ScienceDirect (Online service); Sortino, Frank Alphonse, (1932-)
(書目-電子資源)
Forecasting volatility in the financial markets
by:
Knight, John L.; Satchell, S.; ScienceDirect (Online service)
(書目-電子資源)
Forecasting expected returns in the financial markets
by:
Satchell, S.; ScienceDirect (Online service)
(書目-電子資源)
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主題
International finance.
Asset allocation.
Exchange.
Finan�cas internacionais.
Investment analysis
Collectibles as an investment.
Investment analysis.
Portfolio management.
Portfolio management
Op�c�oes financeiras.
Investments
BUSINESS & ECONOMICS
Futures.
Securities.
C�ambio (economia)
Risk management.
Finance
Securities
Options (Finance)
Stock price forecasting
Risk management
Financial engineering.