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Derivatives and Internal Models

Författare:
Inbunden, 2003
engelska
283,80 €

The first edition of this text provided an introduction to the valuation and risk management of modern financial instruments, formulated in a precise mathematical expression and comprehensively covering all relevant topics using consistent and exact notation. In this new edition, Deutsch continues with this philosophy covering new and more advanced topics including risk adjusted performance and portfolio optimization.

Författare
Deutsch H.
Upplaga
3
ISBN
9781403921505
Språk
engelska
Vikt
518 gram
Utgivningsdatum
18.12.2003
Sidor
698