Network Models in Finance: Expanding the Tools for Portfolio and Risk Management (Frank J. Fabozzi Series)
Author: Frank J. Fabozzi (Author), Gueorgui S. Konstantinov (Author)
Publisher finelybook 出版社: Wiley
Edition 版本: 1st edition
Publication Date 出版日期: 2025-02-5
Language 语言: English
Print Length 页数: 368 pages
ISBN-10: 139427968X
ISBN-13: 9781394279685
Book Description
Book Description
下载地址
PDF, (conv), EPUB | 36 MB | 2025-01-06
未经允许不得转载:finelybook » Network Models in Finance: Expanding the Tools for Portfolio and Risk Management
相关推荐
- Microsoft Defender for Identity in Depth: An exhaustive guide to ITDR, breach prevention, and cyberattack response
- Managing Data as a Product: Design and build data-product-centered socio-technical architectures
- The Chief AI Officer’s Handbook: Master AI leadership with strategies to innovate, overcome challenges, and drive business growth
- Quantum Machine Learning and Optimisation in Finance: Drive financial innovation with quantum-powered algorithms and optimisation strategies
- ASP.NET Core 9.0 Essentials: Explore the .NET Core web stack, including Razor Pages, Blazor, and MVC, to build cloud-ready apps
- Malware Development for Ethical Hackers: Learn to develop various types of malware to strengthen cybersecurity