Portfolio Analytics An Introduction to Return and Risk Measurement
by
 
Marty, Wolfgang. author.

Title
Portfolio Analytics An Introduction to Return and Risk Measurement

Author
Marty, Wolfgang. author.

ISBN
9783319035093

Physical Description
XII, 200 p. 53 illus., 14 illus. in color. online resource.

Series
Springer Texts in Business and Economics,

Subject Term
Economics.
 
Finance.
 
Economics -- Statistics.
 
Auditing.
 
Economics/Management Science.
 
Finance/Investment/Banking.
 
Quantitative Finance.
 
Financial Economics.
 
Business Mathematics.
 
Statistics for Business/Economics/Mathematical Finance/Insurance.
 
Accounting/Auditing.

Added Corporate Author
SpringerLink (Online service)

Electronic Access
http://dx.doi.org/10.1007/978-3-319-03509-3


LibraryMaterial TypeItem BarcodeShelf Number[[missing key: search.ChildField.HOLDING]]Status
Online LibraryE-Book332977-1001ONLINE(332977.1)Elektronik Kütüphane