Risk and Asset Allocation
This encyclopedic, self-contained, detailed exposition spans all the steps of one-period allocation from the basics to the most advanced and recent developments. A variety of multivariate estimation methods are analyzed in depth, including non-parametric, maximum-likelihood under non-normal hypothes...
Uloženo v:
| Hlavní autor: | Meucci, Attilio |
|---|---|
| Médium: | Livre numérique |
| Jazyk: | Anglais |
| Vydáno: |
Berlin, Heidelberg :
Springer Berlin Heidelberg
[20..].
Cham : Springer Nature |
| Vydání: | 1st ed. 2005. |
| Edice: | Springer Finance Textbooks
|
| On-line přístup: | Accès sur la plateforme de l'éditeur Accès sur la plateforme Istex Accès Université d'Orléans Accès INSA CVL |
| Poznámka: |
Archives Springer e-books (Licence nationale) Archives Springer e-books (Licence nationale) |
| Autres localisations: | Voir dans le Sudoc |
| Edition sous un autre format: | • Risk and asset allocation, Attilio Meucci, Berlin, Springer, 2005, 1 volume (xxvi-532 pages), Springer finance, 3-540-22213-8 • Risk and asset allocation, Attilio Meucci, 2009, New York, Springer, 1 vol. (XXVI-532 p.), Springer finance, 978-3-642-00964-8 • Risk and Asset Allocation, Texte imprimé, 9783540802235 |
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