Check nearby libraries
Buy this book
This edition doesn't have a description yet. Can you add one?
Check nearby libraries
Buy this book
Subjects
Risk management, Portfolio management, Investment analysis, Mathematical models, Risk assessment, Statistical methods, Investments, Investissements, Gestion de portefeuille, Gestion du risque, Modèles mathématiques, BUSINESS & ECONOMICS, Finance, Bond market, Bonds, BUSINESS & ECONOMICS / Finance| Edition | Availability |
|---|---|
|
1
Multi-Asset Risk Modeling: Techniques for a Global Economy in an Electronic and Algorithmic Trading Era
2013, Elsevier Science & Technology Books, Academic Press
in /languages/eng
0124016901 9780124016903
|
aaaa
|
|
2
Multi-Asset Risk Modeling: Techniques for a Global Economy in an Electronic and Algorithmic Trading Era
2013, Elsevier Science & Technology Books
in /languages/eng
0124016944 9780124016941
|
zzzz
|
Book Details
Classifications
Edition Identifiers
Work Identifiers
Community Reviews (0)
History
- Created August 3, 2020
- 5 revisions
Wikipedia citation
×CloseCopy and paste this code into your Wikipedia page. Need help?
| February 27, 2023 | Edited by ImportBot | import existing book |
| December 20, 2022 | Edited by MARC Bot | import existing book |
| December 18, 2022 | Edited by MARC Bot | import existing book |
| November 14, 2020 | Edited by MARC Bot | import existing book |
| August 3, 2020 | Created by ImportBot | import new book |