Network Models in Finance: Expanding the Tools for Portfolio and Risk Management (Frank J. Fabozzi Series)
Author:by 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:368pages
ISBN-10:139427968X
ISBN-13:9781394279685
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
Agent-Based Models with MATLAB
Hands-on NumPy for Numerical Analysis: Unlock NumPy with Google Colab for High-Performance Numerical Computing and Optimizing Numerical Data Analysis
Approximation and Regularisation Methods for Operator-Functional Equations
CockroachDB: The Definitive Guide: Distributed Data at Scale, 2nd Edition
IoT and Machine Learning for Smart Applications
Investing in Revolutions: Creating Wealth from Transformational Technology Waves