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Portfolio Management under Stress: A Bayesian-Net Approach to Coherent Asset Allocation

Portfolio Management under Stress: A Bayesian-Net Approach to Coherent Asset Allocation Business, Finance & Career

Portfolio Management under Stress: A Bayesian-Net Approach to Coherent Asset Allocation

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Product details
Edition:
1
Number of Pages:
456
Release Date:
2014-01-09
Publication Date:
2014-01-09
Publisher:
Cambridge University Press
Languages:
Published: English, Original: English
ISBN10:
1107048117
GPSR Manufacturer Reference:
[email protected]
Weight:
1070 g
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