Macroeconometric Models for Portfolio Management: Series in Economics
Autor Jeremy Kwoken Limba Engleză Hardback – 20 apr 2021
This book aims to bridge the gap between academia and practising professionals. Readers will attain a rigorous understanding of the theory and how to apply these models to their portfolios. Therefore, 'Macroeconometric Models for Portfolio Management' will be of interest to academics and scholars working in macroeconomics and finance; to industry professionals working in financial economics and asset management; to asset managers and investors who prefer systematic investing over discretionary investing; and to investors who have a strong interest in macroeconomic influences on their portfolio.
Preț: 340.38 lei
Nou
Puncte Express: 511
Preț estimativ în valută:
65.15€ • 67.90$ • 54.23£
65.15€ • 67.90$ • 54.23£
Carte tipărită la comandă
Livrare economică 04-18 ianuarie 25
Preluare comenzi: 021 569.72.76
Specificații
ISBN-13: 9781622738847
ISBN-10: 1622738845
Pagini: 244
Dimensiuni: 157 x 235 x 18 mm
Greutate: 0.48 kg
Editura: Vernon Press
Colecția Series in Economics
Seria Series in Economics
ISBN-10: 1622738845
Pagini: 244
Dimensiuni: 157 x 235 x 18 mm
Greutate: 0.48 kg
Editura: Vernon Press
Colecția Series in Economics
Seria Series in Economics