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3038 Hennepin Ave Minneapolis, MN
612-822-4611
Portfolio and Investment Analysis with SAS: Financial Modeling Techniques for Optimization

Portfolio and Investment Analysis with SAS: Financial Modeling Techniques for Optimization

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ISBN10: 1635266920
ISBN13: 9781635266924
Publisher: Sas Inst
Published: Apr 3 2019
Pages: 230
Weight: 1.16
Height: 0.48 Width: 8.25 Depth: 11.00
Language: English

Choose statistically significant stock selection models using SAS(R)

Portfolio and Investment Analysis with SAS(R): Financial Modeling Techniques for Optimization is an introduction to using SAS to choose statistically significant stock selection models, create mean-variance efficient portfolios, and aggressively invest to maximize the geometric mean. Based on the pioneering portfolio selection techniques of Harry Markowitz and others, this book shows that maximizing the geometric mean maximizes the utility of final wealth. The authors draw on decades of experience as teachers and practitioners of financial modeling to bridge the gap between theory and application.

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