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Portfolio Risk Management: Theoretical Models and Quantitative Tools to Optimize Financial Investments

Portfolio Risk Management: Theoretical Models and Quantitative Tools to Optimize Financial Investments

Paperback

Investing & Finance

ISBN13: 9798262429059
Publisher: Independently Published
Published: Aug 26 2025
Pages: 74
Weight: 0.24
Height: 0.15 Width: 6.00 Depth: 9.00
Language: English
Portfolio Risk Management
Theoretical Models and Quantitative Tools to Optimize Financial Investments

In today's volatile and uncertain financial markets, risk management is no longer an option-it is a necessity.
This book offers a comprehensive and practical guide to portfolio risk management, combining theory, quantitative methods, and real-world applications.

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Investing & Finance