Mathematical Portfolio Theory and Analysis

Available
0
StarStarStarStarStar
0Reviews

Designed as a self-contained text, this book covers a wide spectrum of topics on portfolio theory. It covers both the classical-mean-variance portfolio theory as well as non-mean-variance portfolio theory. The book covers topics such as optimal portfolio strategies, bond portfolio optimization and risk management of portfolios. In order to ensure that the book is self-contained and not dependent o...

Read more
product_type_E-book
epub
Price
49.99 £

Designed as a self-contained text, this book covers a wide spectrum of topics on portfolio theory. It covers both the classical-mean-variance portfolio theory as well as non-mean-variance portfolio theory. The book covers topics such as optimal portfolio strategies, bond portfolio optimization and risk management of portfolios. In order to ensure that the book is self-contained and not dependent o...

Read more
Follow the Author

Options

  • Formats: epub
  • ISBN: 9789811985447
  • Publication Date: 18 Feb 2023
  • Publisher: Springer Nature Singapore
  • Product language: English
  • Drm Setting: DRM