Logga in

Meucci, Attilio

Risk and Asset Allocation

Meucci, Attilio - Risk and Asset Allocation, e-bok

76,95€

E-bok, PDF, Adobe DRM-skydd
ISBN: 9783540279044
DRM-begränsningar

Skriva utInte tillåtet
Kopiera till urklippInte tillåtet

Table of contents

Part I. The statistics of asset allocation

1. Univariate statistics

2. Multivariate statistics

3. Modeling the market

Part II. Classical asset allocation

4. Estimating the distribution of the market invariants

5. Evaluating allocations

6. Optimizing allocations

Part III. Accounting for estimation risk

7. Estimating the distribution of the market invariants

8. Evaluating allocations

9. Optimizing allocations

DRM-restrictions

Printing: not available
Clipboard copying: not available

Nyckelord: MATHEMATICS / General MAT000000

Författare
Utgivare
Springer
Utgivningsår
2005
Språk
en
Utgåva
1
Kategori
Naturvetenskaper
Format
E-bok
eISBN (PDF)
9783540279044

Liknande e-böcker