Modern portfolio management : from Markowitz to probabilistic scenario optimisation ; goal-based and long-term portfolio choice
Year of publication: |
2015
|
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Authors: | Sironi, Paolo |
Publisher: |
London : Risk Books |
Subject: | Portfolio-Management | Portfolio selection | Portfolio Selection | Risikomanagement |
Description of contents: | Table of Contents [gbv.de] |
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Branchenorientierte Steuerung eines Kreditportfolios
Frank, Martin, (1999)
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Bröker, Frank, (2000)
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Global portfolio diversification : risk management, market microstructure, and implementation issues
Aggarwal, Raj, (1995)
- More ...
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FinTech innovation : from robo-advisors to goas-based investing and gamification
Sironi, Paolo, (2016)
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FinTech innovation : from robo-advisors to goal based investing and gamification
Sironi, Paolo, (2016)
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Banks and fintech on platform economies : contextual and conscious banking
Sironi, Paolo, (2022)
- More ...