Portfolio management - Mathematical models.
概要
作品: | 40 作品在 15 項出版品 15 種語言 |
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書目資訊
Introduction to the mathematics of finance :from risk management to options pricing /
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Quantitative trading strategiesharnessing the power of quantitative techniques to create a winning trading program /
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Advanced stochastic models, risk assessment, and portfolio optimization :the ideal risk, uncertainty, and performance measures /
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Option pricing and portfolio optimization :modern methods of financial mathematics /
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The measurement of market risk :modelling of risk factors, asset pricing, and approximation of portfolio distributions /
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Portfolio management under stressa Bayesian-net approach to coherent asset allocation /
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