• Media type: Book
  • Title: Risk and asset allocation
  • Contributor: Meucci, Attilio [Author]
  • imprint: Dordrecht; Heidelberg [u.a.]: Springer, 2009
  • Contains: Literaturverz. S. [505] - 513
  • Published in: Springer finance
  • Issue: Reprint of the 2007 edition, 1. softcover printing
  • Extent: XXVI, 532 S.; graph. Darst; 24 cm
  • Language: English
  • ISBN: 9783642009648; 9783540222132
  • Publisher, production or purchase order numbers: Sonstige Nummer: 12653348
  • RVK notation: QK 810 : Portfolioanalyse und -management
    SK 980 : Wirtschaftsmathematik, Ökonometrie, Produktionstheorie
  • Keywords: Portfolio Selection > Finanzmathematik
  • Origination:
  • Footnote: Literaturverz. S. 505 - 513

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  • Status: Loanable
  • Shelf-mark: 2016 8 009838
  • Item ID: 11912909N