Number of the records: 1
Managing downside risk in financial markets
Title Managing downside risk in financial markets : theory, practice and implementation Author info Edited by Frank A. Sortino, Stephen E. Satchell Another authors Sortino Frank A. (Compiler) Satchell Stephen E. (Compiler) Issue data Oxford : Butterworth-Heinemann , 2001. - 267 s. + 1 CD-ROM Edition Quantitative finance series ISBN 0-7506-4863-5 Document kind monographs Language English Country of Edition Great 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 Database BOOKS Copy count 1, currently available 1, at library only 0 Call number 780935

book
Call number Location Sublocation Info 780935 SEK Sklad knižničného fondu availaible
Number of the records: 1