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Stochastic Portfolio Theory
Tallenna

Stochastic Portfolio Theory

Stochastic portfolio theory is a mathematical methodology for constructing stock portfolios and for analyzing the effects induced on the behavior of these portfolios by changes in the distribution of capital. This book provides an introduction to stochastic portfolio theory for investment professionals and for students of mathematical finance.
Painos
2002 ed.
ISBN
9780387954059
Kieli
englanti
Paino
446 grammaa
Julkaisupäivä
12.4.2002
Sivumäärä
178