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Managing downside risk in financial markets

  1. Title Managing downside risk in financial markets : theory, practice and implementation
    Author infoEdited by Frank A. Sortino, Stephen E. Satchell
    Another authors Sortino Frank A. (Compiler)
    Satchell Stephen E. (Compiler)
    Issue dataOxford : Butterworth-Heinemann , 2001. - 267 s. + 1 CD-ROM
    Edition Quantitative finance series
    ISBN0-7506-4863-5
    Document kindmonographs
    LanguageEnglish
    Country of EditionGreat Britain
    systematics 336.76 - Burzovníctvo. Peňažný trh
    Keywords trh finančný * riziko * riziko bankové * riadenie * modelovanie * modelovanie matematické * modely analytické ekonometrické * benchmarking * plánovanie finančné * teória finančná * portfólio * investície * modely cenové
    DatabaseBOOKS
    Copy count1, currently available 1, at library only 0
    Call number780935

    Call numberLocationSublocationInfo
    780935SEKSklad knižničného fonduavailaible

Number of the records: 1  

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