Advanced Stochastic Models, Risk Assessment, and Portfolio Optimization

Language: English

Published by John Wiley and Sons Inc, US, 2008

047005316X / 9780470053164

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  • Hardcover
  • New
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This groundbreaking book extends traditional approaches of risk measurement and portfolio optimization by combining distributional models with risk or performance measures into one framework. Throughout these pages, the expert authors explain the fundamentals of probability metrics, outline new approaches to portfolio optimization, and discuss a variety of essential risk measures. Using numerous examples, they illustrate a range of applications to optimal portfolio choice and risk theory, as well as applications to the area of computational finance that may be useful to financial engineers.

Seller Inventory # LU-9780470053164

Title
Advanced Stochastic Models, Risk Assessment, and Portfolio Optimization
Author
Svetlozar T. Rachev, Stoyan V. Stoyanov, Frank J. Fabozzi
Publisher
John Wiley and Sons Inc, US
Publication year
2008
Condition
New
Binding
Hardback
Language
English
ISBN 10
047005316X
ISBN 13
9780470053164
Edition
1st.
Item weight
612 grams
Dimensions
16.13 x 3.3 x 23.62 cm

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