Nicolas Chapados Chapados Portfolio Choice Problems

Portfolio Choice Problems

von Nicolas Chapados

An Introductory Survey of Single and Multiperiod Models

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Beschreibung

This brief offers a broad, yet concise, coverage of portfolio choice, containing both application-oriented and academic results, along with abundant pointers to the literature for further study. It cuts through many strands of the subject, presenting not only the classical results from financial economics but also approaches originating from information theory, machine learning and operations research. This compact treatment of the topic will be valuable to students entering the field, as well as practitioners looking for a broad coverage of the topic.
Includes supplementary material: sn.pub/extras

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Nicolas Chapados

Themen in »Portfolio Choice Problems«

Portfolio choice problems mean-variance efficiency modern portfolio theory multiperiod models multiperiod problems portfolio choice risk-free asset single-period problems

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From the reviews:

“This book provides a reader with a compact treatment of a quite wide spectrum of portfolio choice problems. The author aims to review the main classical results concerning optimal portfolio construction … . The book is very concise but written in a clear, accessible way. It can serve as a useful source for students and academics entering the field, as well as practitioners looking for a broad coverage of the topic.” (Malgorzata Doman, Zentralblatt MATH, Vol. 1232, 2012)


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Details

ISBN: 9781461405771
Verlag: Springer US
Erscheinung: 12.07.2011

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