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Cambridge University Press

Portfolio Theory And Risk Management (Mastering Mathematical Finance)

Portfolio Theory And Risk Management (Mastering Mathematical Finance)

ISBN-13: 9781107003675
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A rigorous account of classical portfolio theory and a simple introduction to modern risk measures and their limitations.


  • Author: Maciej J. Capinski, Ekkehard Kopp
  • Publisher: Cambridge University Press
  • Publication Date: Aug 07, 2014
  • Number of Pages: 172 pages
  • Language: English
  • Binding: Hardcover
  • ISBN-10: 1107003679
  • ISBN-13: 9781107003675
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