Risk-sensitive investment management
Finna-arvio
Risk-sensitive investment management
Tallennettuna:
Ulkoasu |
xvi, 397 sivua : kuvitettu |
---|---|
Kieli |
englanti |
Alkuteoksen kieli |
englanti |
Huomautukset |
Readership: Professionals, researchers, academics and graduate students in the field of investment management, stochastic optimization, stochastic analysis and probability, and quantitative finance. |
Julkaisija |
New Jersey :
World Scientific,
[2015]
|
Sarja | Advanced series on statistical science & applied probability, 19. |
Aiheet | |
Lisätiedot | Mark H.A. Davis and Sébastien Lleo |
Bibliografia |
Includes bibliographical references and index.. |
ISBN |
9789814578035 sidottu 9789814578042 nidottu |