What's new

Welcome to App4Day.com

Join us now to get access to all our features. Once registered and logged in, you will be able to create topics, post replies to existing threads, give reputation to your fellow members, get your own private messenger, and so, so much more. It's also quick and totally free, so what are you waiting for?

Scalar and Vector Risk in the General Framework of Portfolio Theory

F

Frankie

Moderator
Joined
Jul 7, 2023
Messages
101,954
Reaction score
0
Points
36
0309348c7c1ed15054e765390391f9a7.jpeg

Free Download Scalar and Vector Risk in the General Framework of Portfolio Theory: A Convex Analysis Approach
English | 2023 | ISBN: 3031333209 | 228 Pages | PDF EPUB (True) | 20 MB
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 and a typical portfolio optimization problem is that the former involves multiple risks. The related theoretical investigation leads to a significant extension of the scope of portfolio theories.​


Recommend Download Link Hight Speed | Please Say Thanks Keep Topic Live

Rapidgator
6h42y.rar.html
NitroFlare
6h42y.rar
Uploadgig
6h42y.rar
NovaFile
6h42y.rar
Fikper
6h42y.rar.html
Links are Interchangeable - Single Extraction
 
Top Bottom