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QUANTITATIVE ANALYSIS FOR INVESTMENT MANAGEMENT
An overview of the quantitative tools and models that have been most widely used in investment management. The book argues that many of the most popular quantitative techniques have certain elements in common, and that if these elements can be understood, the reader can gain a working understanding of a wider variety of complex securities and portfolio management techniques.
10003759 | 332.67 TAG q | RLC MM (Rak Buku Umum) | Available |
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