• Open Daily: 10am - 10pm
    Alley-side Pickup: 10am - 7pm

    3038 Hennepin Ave Minneapolis, MN
    612-822-4611

Open Daily: 10am - 10pm | Alley-side Pickup: 10am - 7pm
3038 Hennepin Ave Minneapolis, MN
612-822-4611
Risk and Portfolio Analysis: Principles and Methods

Risk and Portfolio Analysis: Principles and Methods

Hardcover

Series: Springer Operations Research and Financial Engineering

Business GeneralInvesting & FinanceGeneral Mathematics

ISBN10: 1461441021
ISBN13: 9781461441021
Publisher: Springer Nature
Published: Jul 20 2012
Pages: 338
Weight: 1.47
Height: 0.81 Width: 6.14 Depth: 9.21
Language: English

Investment and risk management problems are fundamental problems for financial institutions and involve both speculative and hedging decisions. A structured approach to these problems naturally leads one to the field of applied mathematics in order to translate subjective probability beliefs and attitudes towards risk and reward into actual decisions.

Also in

General Mathematics