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Risk-Based Approaches to Asset Allocation
Tallenna

Risk-Based Approaches to Asset Allocation

The book provides an analysis of the different solutions that fit this description: the equal-weighting approach, the global minimum-variance approach, the most diversified portfolio approach and the risk parity approach.
Alaotsikko
Concepts and Practical Applications
Painos
1st ed. 2016
ISBN
9783319243801
Kieli
englanti
Paino
310 grammaa
Julkaisupäivä
9.11.2015
Sivumäärä
99