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Managing downside risk in financial markets : theory, practice and implementation
- 其他作者:
- 出版: Boston : Butterworth-Heinemann
- 叢書名: Quantitative finance series
- 主題: Investment analysis , Risk management , Portfolio management
- ISBN: 0750648635 (hbk.): US$98.95
- 資料類型: 圖書
- 內容註: Includes bibliographical references and index. CD-ROM contains Forsey-Sortino model, source code, and an Excel spreadsheet.
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讀者標籤:
- 系統號: 005006256 | 機讀編目格式