Utvidet returrett til 31. januar 2025

Bøker i Frank J. Fabozzi Series-serien

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  • av DF Babbel
    2 639,-

    Investment Management for Insurers details all phases of the investment management process for insurers as well as fixed income instruments and derivatives and state-of-the-art analytical tools for valuing securities and measuring risk. Complete coverage includes: a general overview of issues, fixed income products, valuation, measuring and controlling interest rate risk, and equity portfolio management.

  • - The Ideal Risk, Uncertainty, and Performance Measures
    av Svetlozar T. (University of California Rachev
    738,-

    This groundbreaking book extends traditional approaches of risk measurement and portfolio optimization by combining distributional models with risk or performance measures into one framework.

  • av Frank J. (School of Management Fabozzi
    857,-

    Filled with a comprehensive collection of information from experts in the commodity investment industry, this detailed guide shows readers how to successfully incorporate commodities into their portfolios.

  • av Frank J. (Yale University) Fabozzi
    655,-

    Introduction to Securitization is intended as an easy-to-comprehend first guide to securitization, addressing applications of this technology to mortgages, collateralized debt obligations, future flows, credit cards, auto loans, etc.

  • av Svetlozar T. (University of California Rachev
    714,-

    Bayesian Methods in Finance explains and illustrates the foundations of the Bayesian methodology in clear and accessible terms. It provides a unified examination of the use of the Bayesian theory and practice to analyze and evaluate asset management.

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