Modern Portfolio Management: From Markowitz to Probabilistic Scenario Opti-misation
Книги

Modern Portfolio Management: From Markowitz to Probabilistic Scenario Opti-misation

Книги

Modern Portfolio Management: From Markowitz to Probabilistic Scenario Opti-misation

Sironi, P. Modern Portfolio Management: From Markowitz to Probabilistic Scenario Opti-misation : Goal-Based and Long-Term Portfolio Choice / P. Sironi. — London : Risk Books, 2015. — 204 p.. — Index: P. 197-204. — ISBN 978-1-78272-204-5 : 13558.00 р.
Sironi, P., (2015), Modern Portfolio Management: From Markowitz to Probabilistic Scenario Opti-misation: Goal-Based and Long-Term Portfolio Choice, London: Risk Books, 2015, 204 p., GB.
Sironi P. Modern Portfolio Management: From Markowitz to Probabilistic Scenario Opti-misation: Goal-Based and Long-Term Portfolio Choice. London: Risk Books; 2015. 204 p.
  • УДК:
    336.76
  • ISBN:
    978-1-78272-204-5

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