Marty Wolfgang

Portfolio analytics: an introduction to return and risk measurement - 2 - New York Springer 2015 - xiv, 204p. ill.

References 199-200p.; About the author 201-202p.; Index 203-204p.

9783319198125 (hbk) SL01600377

195682

143, 01/03/2016, Aviva Books Company Textual


Performance measurement
Risk measurement
Investment controlling

B2T0bX:65, Q5