Siirry tuotetietoihin

Quantitative Risk and Portfolio Management

Kenneth Winston

Normaali hinta €65,47
Myyntihinta €65,47 Normaali hinta €67,49 Myynti

Meillä on varastossa

📦 Šios prekės gali nebūti sandėlyje.
Prieš perkant parašykite mums, kad patikslintume: info@bookshop.lt 💜

Autorius Kenneth Winston
Žanras Finance
Leidimo metai 2023 m.
Puslapių skč. 927 psl.
Viršelis Kietas viršelis
ISBN 9781009209045
Kategorijos Finansai

Quantitative Risk and Portfolio Management

Discover the essential guide to risk and portfolio management with Quantitative Risk and Portfolio Management by Kenneth Winston, published by Cambridge University Press in 2023. This comprehensive hardback edition spans an impressive 927 pages, making it an invaluable resource for advanced undergraduate and beginning graduate students aspiring to thrive in the field of quantitative finance.

Winston's modern approach combines theoretical foundations with practical applications, featuring extensive live data and Python code as online supplements. These resources enable readers to apply theoretical concepts to real-world scenarios, enhancing their understanding and skills in risk management and portfolio optimization.

Whether you're preparing for a career in finance or seeking to deepen your knowledge, this book is a must-have addition to your academic library. Equip yourself with the tools you need to succeed in the dynamic world of quantitative finance.

Book cover of: Quantitative Risk and Portfolio Management. By: Kenneth Winston

Quantitative Risk and Portfolio Manag...

Normaali hinta €65,47
Myyntihinta €65,47 Normaali hinta €67,49