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Quantitative Methods for Portfolio Analysis: MTV Model Approach

84,68 
84,68 
2025-07-31 84.6800 InStock
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Knygos aprašymas

Quantitative Methods for Portfolio Analysis provides practical models and methods for the quantitative analysis of financial asset prices, construction of various portfolios, and computer-assisted trading systems. In particular, this book is required reading for: (1) `Quants' (quantitatively-inclined analysts) in financial industries; (2) financial engineers in investment banks, securities companies, derivative-trading companies, software houses, etc., who are developing portfolio trading systems; (3) graduate students and specialists in the areas of finance, business, economics, statistics, financial engineering; and (4) investors who are interested in Japanese financial markets. Throughout the book the emphasis is placed on the originality and usefulness of models and methods for the construction of portfolios and investment decision making, and examples are provided to demonstrate, with practical analysis, models for Japanese financial markets.

Informacija

Autorius: T. Kariya
Serija: Theory and Decision Library B
Leidėjas: Springer Netherlands
Išleidimo metai: 2012
Knygos puslapių skaičius: 324
ISBN-10: 9401047545
ISBN-13: 9789401047548
Formatas: Knyga minkštu viršeliu
Kalba: Anglų
Žanras: Econometrics and economic statistics

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