Risk-Return Analysis: The Theory and Practice of Rational Investing (Volume One)
Risk-Return Analysis: The Theory and Practice of Rational Investing (Volume One)
Demonstrates why MPT never became ineffective during the crisis, and how you can continue to reap the rewards of managed diversification into the future. This book arms you with concrete steps to accurately select and apply the right risk measures in a gi
MARKOWITZ, HARRY,BLAY, KENNETH
Risk-Return Analysis: The Theory and Practice of Rational Investing (Volume One)
Demonstrates why MPT never became ineffective during the crisis, and how you can continue to reap the rewards of managed diversification into the future. This book arms you with concrete steps to accurately select and apply the right risk measures in a gi
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9780071817936Mladinska knjiga ID
9780071817936Leto izida
2013Datum izida
16.10.2013Število strani
272Status dobavljivosti
7-10 delovnih dniZaložnik
McGraw-Hill Education - EuropeAvtor
Markowitz, Harry,Blay, KennethDimenzije
152 x 235 x 24BIC
KJBOpis
Demonstrates why MPT never became ineffective during the crisis, and how you can continue to reap the rewards of managed diversification into the future. This book arms you with concrete steps to accurately select and apply the right risk measures in a given circumstance.Pogosto kupljeno skupaj
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