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Mathematical Asset Management

Thomas (Department of Mathematics, Stockholm University, Sweden) Hoglund

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Mathematical Asset Management

Discover the essential insights of "Mathematical Asset Management" by Thomas Höglund, published by John Wiley & Sons Inc in 2008. This comprehensive hardback edition spans 232 pages and offers a practical approach to mastering the mathematical tools crucial for enhancing portfolio growth. Dive into effective trading strategies and learn to navigate the complexities of risk management associated with market fluctuations. Perfect for finance professionals and enthusiasts alike, this book bridges the gap between mathematics and investment analysis, providing you with the knowledge to make informed decisions in the world of finance. Equip yourself with the skills needed to succeed in today's dynamic investment landscape.

Book cover of: Mathematical Asset Management. By: Thomas Höglund, Thomas Höglund

Mathematical Asset Management

Normaali hinta €135,53
Myyntihinta €135,53 Normaali hinta €140,19