Scalar and Vector Risk in the General Framework of Portfolio Theory

Language: English

Published by Springer, Berlin|Springer International Publishing|Springer, 2023

3031333209 / 9783031333200

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Dieser Artikel ist ein Print on Demand Artikel und wird nach Ihrer Bestellung fuer Sie gedruckt. This book is the culmination of the authors industry-academic collaboration in the past several years. The investigation is largely motivated by bank balance sheet management problems. The main difference between a bank balance sheet management problem .

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Title
Scalar and Vector Risk in the General Framework of Portfolio Theory
Author
Maier-Paape, Stanislaus|Júdice, Pedro|Platen, Andreas|Zhu, Qiji Jim
Publisher
Springer, Berlin|Springer International Publishing|Springer
Publication year
2023
Condition
New
Binding
Hardcover
Language
English
ISBN 10
3031333209
ISBN 13
9783031333200

moluna

Greven, Germany

5-star seller

AbeBooks seller since July 9, 2020

Shipping rates from Germany to U.S.A.

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