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Risk and Asset Allocation

Printed Book
SR 324
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SR19Per Month/24 months
Author:Meucci, Attilio
Date of Publication: 2009
Book classification:Science & Mathematics,English Books
No. of pages:560 Pages
Format:Paperback

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About this Product

A comprehensive treatment of all the steps of asset allocation, including market modeling, invariants estimation, portfolia evaluation, etc. Almost all results are proved explicitly in technical appendices that can be downloaded freely from the books web-site. Each chapter ends with a set of exercises. Many of the exercises simulate - in Matlab - the solution to practical problems and can be downloaded from the books web-site.

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Specifications

SKU9783642009648
Manufacturer Number9783642009648
year published2009
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