Portfolio theory and risk management / Maciej J. Capiński, Ekkehard Kopp.

By: Capiński, MaciejContributor(s): Kopp, Ekkehard, (1944- ) | Cambridge University Press [pbl]Material type: TextTextSeries: Mastering Mathematical FinancePublication details: Cambridge : Cambridge University Press, 2014. Description: X, 160 s. : il. ; 23 cmContent type: Tekst Media type: Bez urządzenia pośredniczącego Carrier type: WoluminISBN: 9781107003675; 9780521177146Subject(s): Zarządzanie portfelem | Zarządzanie ryzykiem | Analiza finansowa
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Item type Current library Call number Status Date due Barcode
Basic collection Basic collection BUEK Magazyn 312689 Available 1000312689

Indeks.