Check details on webcat_plus

このエントリーをはてなブックマークに追加

Output this information

Link on this page

Portfolio theory and risk management / Maciej J. Capiński, Ekkehard Kopp
(Mastering mathematical finance)

Publisher Cambridge : Cambridge University Press
Year 2014
Authors *Capiński, Maciej J.
Kopp, Ekkehard

Hide book details.

Chiyoda (Textbooks)(Financial Strategy) : hbk K3381:495 121050179Q
9781107003675

Hide details.

Material Type Books
Size x, 160 p. : ill. ; 23-24 cm
Notes Includes index
Subjects LCSH:Portfolio management
LCSH:Risk management
LCSH:Investment analysis
Classification LCC:HG4529.5
DC23:332.6
Language English
ID 1001142396
ISBN 9781107003675
NCID BB17609562 WCLINK

 Similar Items