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Risk and Asset Allocation Электронный ресурс by Attilio Meucci.
Material type: Computer fileSeries: Springer FinancePublication details: Berlin, Heidelberg : Springer-Verlag Berlin Heidelberg, 2005ISBN: 9783540279044Subject(s): Finance | Mathematical statistics | Matrix theory | mathematics | Linear and Multilinear Algebras, Matrix Theory | Quantitative Finance | Statistical Theory and MethodsOnline resources: Click here to access online In: Springer e-booksNo physical items for this record
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