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Publicado por Business Science Reference, 2020
ISBN 10: 1799850838 ISBN 13: 9781799850830
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Idioma: Inglés
Publicado por Business Science Reference, 2020
ISBN 10: 1799850838 ISBN 13: 9781799850830
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Idioma: Inglés
Publicado por Business Science Reference, 2020
ISBN 10: 1799850838 ISBN 13: 9781799850830
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Añadir al carritoCondición: New. Dieser Artikel ist ein Print on Demand Artikel und wird nach Ihrer Bestellung fuer Sie gedruckt. KlappentextrnrnIn today s financial market, portfolio and risk management are facing an array of challenges. This is due to increasing levels of knowledge and data that are being made available that have caused a multitude of different investmen.
Idioma: Inglés
Publicado por Business Science Reference, 2020
ISBN 10: 1799850838 ISBN 13: 9781799850830
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Añadir al carritoBuch. Condición: Neu. Recent Applications of Financial Risk Modelling and Portfolio Management | Tihana ¿Krinjari¿ (u. a.) | Buch | Gebunden | Englisch | 2020 | Business Science Reference | EAN 9781799850830 | Verantwortliche Person für die EU: Libri GmbH, Europaallee 1, 36244 Bad Hersfeld, gpsr[at]libri[dot]de | Anbieter: preigu Print on Demand.
Idioma: Inglés
Publicado por Business Science Reference, 2020
ISBN 10: 1799850838 ISBN 13: 9781799850830
Librería: AHA-BUCH GmbH, Einbeck, Alemania
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Añadir al carritoBuch. Condición: Neu. nach der Bestellung gedruckt Neuware - Printed after ordering - In today's financial market, portfolio and risk management are facing an array of challenges. This is due to increasing levels of knowledge and data that are being made available that have caused a multitude of different investment models to be explored and implemented. Professionals and researchers in this field are in need of up-to-date research that analyzes these contemporary models of practice and keeps pace with the advancements being made within financial risk modelling and portfolio control. Recent Applications of Financial Risk Modelling and Portfolio Management is a pivotal reference source that provides vital research on the use of modern data analysis as well as quantitative methods for developing successful portfolio and risk management techniques. While highlighting topics such as credit scoring, investment strategies, and budgeting, this publication explores diverse models for achieving investment goals as well as improving upon traditional financial modelling methods. This book is ideally designed for researchers, financial analysts, executives, practitioners, policymakers, academicians, and students seeking current research on contemporary risk management strategies in the financial sector.