Mathematical methods for finance : tools for asset and risk management
Year of publication: |
c 2013
|
---|---|
Authors: | Focardi, Sergio M. ; Fabozzi, Frank J. ; Bali, Turan G. |
Publisher: |
Hoboken, NJ : Wiley |
Subject: | Portfolio-Management | Portfolio selection | Kapitalanlage | Financial investment | Bilanzstrukturmanagement | Asset-liability management | Risikomanagement | Risk management | Finanzmathematik | Mathematical finance | Mathematik | Mathematics | Finanzanalyse | Risikoanalyse | Stochastisches Modell |
Description of contents: | Table of Contents [gbv.de] ; Description [zbmath.org] |
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Mathematical methods for finance : tools for asset and risk management
Focardi, Sergio M., (2013)
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Mathematical Methods for Finance : Tools for Asset and Risk Management
Focardi, Sergio M, (2013)
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Mathematics of financial obligations
Mel'nikov, Aleksandr V., (2002)
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Mathematical methods for finance : tools for asset and risk management
Focardi, Sergio M., (2013)
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Quantitative equity investing : techniques and strategies
Fabozzi, Frank J., (2010)
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Financial modeling of the equity market : from CAPM to cointegration
Fabozzi, Frank J., (2006)
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