Librería: Ria Christie Collections, Uxbridge, Reino Unido
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Librería: GreatBookPrices, Columbia, MD, Estados Unidos de America
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Librería: GreatBookPrices, Columbia, MD, Estados Unidos de America
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Librería: GreatBookPricesUK, Woodford Green, Reino Unido
EUR 155,65
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Librería: Books Puddle, New York, NY, Estados Unidos de America
EUR 188,78
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Añadir al carritoCondición: New. 2023rd edition NO-PA16APR2015-KAP.
Librería: Books Puddle, New York, NY, Estados Unidos de America
EUR 190,31
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Librería: Buchpark, Trebbin, Alemania
EUR 86,11
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Añadir al carritoCondición: Hervorragend. Zustand: Hervorragend | Sprache: Englisch | Produktart: Bücher | This book is the culmination of the authors¿ industry-academic collaboration in the past several years. The investigation is largely motivated by bank balance sheet management problems. The main difference between a bank balance sheet management problem and a typical portfolio optimization problem is that the former involves multiple risks. The related theoretical investigation leads to a significant extension of the scope of portfolio theories. The book combines practitioners¿ perspectives and mathematical rigor. For example, to guide the bank managers to trade off different Pareto efficient points, the topological structure of the Pareto efficient set is carefully analyzed. Moreover, on top of computing solutions, the authors focus the investigation on the qualitative properties of those solutions and their financial meanings. These relations, such as the role of duality, are most useful in helping bank managers to communicate their decisions to the different stakeholders. Finally, bank balance sheet management problems of varying levels of complexity are discussed to illustrate how to apply the central mathematical results. Although the primary motivation and application examples in this book are focused in the area of bank balance sheet management problems, the range of applications of the general portfolio theory is much wider. As a matter of fact, most financial problems involve multiple types of risks. Thus, the book is a good reference for financial practitioners in general and students who are interested in financial applications. This book can also serve as a nice example of a case study for applied mathematicians who are interested in engaging in industry-academic collaboration.
Librería: Buchpark, Trebbin, Alemania
EUR 85,26
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Añadir al carritoCondición: Hervorragend. Zustand: Hervorragend | Sprache: Englisch | Produktart: Bücher | This book is the culmination of the authors¿ industry-academic collaboration in the past several years. The investigation is largely motivated by bank balance sheet management problems. The main difference between a bank balance sheet management problem and a typical portfolio optimization problem is that the former involves multiple risks. The related theoretical investigation leads to a significant extension of the scope of portfolio theories. The book combines practitioners¿ perspectives and mathematical rigor. For example, to guide the bank managers to trade off different Pareto efficient points, the topological structure of the Pareto efficient set is carefully analyzed. Moreover, on top of computing solutions, the authors focus the investigation on the qualitative properties of those solutions and their financial meanings. These relations, such as the role of duality, are most useful in helping bank managers to communicate their decisions to the different stakeholders. Finally, bank balance sheet management problems of varying levels of complexity are discussed to illustrate how to apply the central mathematical results. Although the primary motivation and application examples in this book are focused in the area of bank balance sheet management problems, the range of applications of the general portfolio theory is much wider. As a matter of fact, most financial problems involve multiple types of risks. Thus, the book is a good reference for financial practitioners in general and students who are interested in financial applications. This book can also serve as a nice example of a case study for applied mathematicians who are interested in engaging in industry-academic collaboration.
Librería: BUCHSERVICE / ANTIQUARIAT Lars Lutzer, Wahlstedt, Alemania
EUR 289,90
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Añadir al carritoSoftcover. Condición: gut. 2024. Scalar and Vector Risk in the General Framework of Portfolio Theory In deutscher Sprache. pages.
EUR 12,00
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Añadir al carritoRevue trimestrielle. Paris, rédacteur en chef : Henri Deluy. Comité de rédaction : Olivier Cadiot, Emmanuel Hocquard, Bernard Vargaftig, Martine Broda, Charles Dobzynski, Pierre Lartigue, Jacques Roubaud, Lionel Ray, Alain Lance, etc. Un volume 13x21cm broché de 79 pages. Comprend un dossier sur les Lyriques latins, Bernard Heidsieck : "Mes brèves rencontres et "leurs" respirations", Huit poèmes de Francis Combes. Fondée au début des années 1950 à Marseille par Gérald Neveu, Action poétique est une des revues de poésie de la seconde moitié du XXème siècle en France qui connut la plus grande longévité. Animée par Henri Deluy, de 1958 jusqu'à sa dernière livraison en 2012 (210 numéros), Action poétique inscrit la poésie dans le champ théorique de la création française : désir de changer le monde, de s?ouvrir à lui, à travers des traductions défricheuses, et d?interroger la langue qui permet de lui donner forme. "Une des plus vastes encyclopédies de la poésie, couvrant tous les âges, tous les pays, de Gilgamesh à la poésie multimédia." (Jean-Yves Lacroix, Catalogue Revues, janvier 2019, p.4). Livres.
Librería: Livraria Castro e Silva, Lisboa, Portugal
EUR 50,00
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Añadir al carritoSoft Cover. Condición: Good. Por? Engenheiro-agrónomo, Vogal auxiliar da Comissão de História Militar. Estudos Nacionais sob a égide do Instituto de Coimbra. Colecção louvada pelo Ministério da Instrução Pública Ministério da Guerra (Vols IX e XVII), Junta de Educação Nacional e Sociedade Propaganda de Portugal. Edições Pátria. Gaia ? Portugal. MCMXXXIV [1934]. De 25x18 cm. com 92 págs. Brochado. Texto enquadrado em esquadria vermelha. Ilustrado em extratexto sobre papel couché, com fotografias da cidade de Silves e de vários trechos das muralhas do seu castelo Pormenorizada descrição da Sé de Silves, a mais importante construção gótica no Algarve e um dos principais monumentos do sul do país e do Castelo da mesma cidade, com a devida contextualização histórica. A Sé de Silves foi, até 1577, a sede da Diocese do Algarve, tendo sido nessa data transferida para Faro. Contém a transcrição, em latim, do foral de D. Afonso III de 1266 que se encontra na Câmara Municipal de Silves. Language: Português / Portuguese Location/localizacao: I-62-G-5.
Librería: Livraria Castro e Silva, Lisboa, Portugal
EUR 60,00
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Añadir al carritoHard Cover. Condición: Good. Por? Engenheiro-agrónomo, Vogal auxiliar da Comissão de História Militar. [Colecção] Estudos Nacionais sob a égide do Instituto de Coimbra. Colecção louvada pelo Ministério da Instrução Pública Ministério da Guerra (Vols IX e XVII), Junta de Educação Nacional e Sociedade Propaganda de Portugal. Edições Pátria. Gaia ? Portugal. MCMXXXIV (1934). De 25x18 cm. Com 92 págs. Encadernação da época com lombada em pele com ferros a ouro. Impressão com texto encarcelado em esquadria vermelha. Profusamente ilustrado em extratexto com fotografias da cidade de Silves e de vários trechos das muralhas do seu castelo impressas em papel couché. Apresenta sinais de manuseamento, nomeadamente na coifa. Obra contém a transcrição em latim do foral de D. Afonso III de 1266 que se encontra na Câmara Municipal de Silves. Language: Português / Portuguese Location/localizacao: I-40-E-21.
Idioma: Portugués
Año de publicación: 2025
Librería: S N Books World, Delhi, India
EUR 21,75
Cantidad disponible: 18 disponibles
Añadir al carritoLeatherbound. Condición: NEW. BOOKS ARE EXEMPT FROM IMPORT DUTIES AND TARIFFS; NO EXTRA CHARGES APPLY. Leather Binding on Spine and Corners with Golden leaf printing on spine. Bound in genuine leather with Satin ribbon page markers and Spine with raised gilt bands. A perfect gift for your loved ones. Reprinted from 1910 edition. NO changes have been made to the original text. This is NOT a retyped or an ocr'd reprint. Illustrations, Index, if any, are included in black and white. Each page is checked manually before printing. As this print on demand book is reprinted from a very old book, there could be some missing or flawed pages, but we always try to make the book as complete as possible. Fold-outs, if any, are not part of the book. If the original book was published in multiple volumes then this reprint is of only one volume, not the whole set and contains approximately 34 pages. IF YOU WISH TO ORDER PARTICULAR VOLUME OR ALL THE VOLUMES YOU CAN CONTACT US. Resized as per current standards. Sewing binding for longer life, where the book block is actually sewn (smythe sewn/section sewn) with thread before binding which results in a more durable type of binding. Language: por.
Idioma: Inglés
Publicado por Springer, Berlin|Springer International Publishing|Springer, 2023
ISBN 10: 3031333209 ISBN 13: 9783031333200
Librería: moluna, Greven, Alemania
EUR 118,61
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Añadir al carritoCondición: New. Dieser Artikel ist ein Print on Demand Artikel und wird nach Ihrer Bestellung fuer Sie gedruckt. This book is the culmination of the authors industry-academic collaboration in the past several years. The investigation is largely motivated by bank balance sheet management problems. The main difference between a bank balance sheet management problem .
Librería: Majestic Books, Hounslow, Reino Unido
EUR 199,73
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Librería: Majestic Books, Hounslow, Reino Unido
EUR 200,66
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Librería: Biblios, Frankfurt am main, HESSE, Alemania
EUR 197,85
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Librería: Biblios, Frankfurt am main, HESSE, Alemania
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