Quantitative Portfolio Optimisation Asset Allocation and Risk Management Finance and Capital Markets
Quantitative Portfolio Optimisation Asset Allocation and Risk Management Finance and Capital Markets Login for the JSON version of this page.
- Title
- Quantitative Portfolio Optimisation Asset Allocation and Risk Management Finance and Capital Markets
- ISBN-10
- 1-4039-0458-8
- ISBN-13
- 978-1-4039-0458-4
- Author(s)
- Mikkel Rasmussen
- Publisher
- Palgrave Macmillan
- Published
- 2003
- Format
- Hardcover
- Subtitle
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- Series
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- Imprint
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- Pages
- 124
- Language
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- Subjects
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- Genre
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Description
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Metadata
- EAN
- 9781403904584
- ASIN
- 1403904588
- Prefix
- 978
- Group
- 1
- Group Name
- English language
- Group Identifier
- 978-1
- Registrant
- 4039
- Publication
- 0458
- Check Digit
- 4
- Formatted
- 978-1-4039-0458-4