| Record Type: |
Electronic resources
: Monograph/item
|
| Title/Author: |
Scalar and vector risk in the general framework of portfolio theoryby Stanislaus Maier-Paape ... [et al.]. |
| Reminder of title: |
a convex analysis approach / |
| other author: |
Maier-Paape, Stanislaus. |
| Published: |
Cham :Springer International Publishing :2023. |
| Description: |
xi, 228 p. :ill., digital ;24 cm. |
| Contained By: |
Springer Nature eBook |
| Subject: |
Portfolio managementMathematics. |
| Online resource: |
https://doi.org/10.1007/978-3-031-33321-7 |
| ISBN: |
9783031333217$q(electronic bk.) |