36564191

9781107048119

Portfolio Management under Stress : A Bayesian-Net Approach to Coherent Asset Allocation

Portfolio Management under Stress : A Bayesian-Net Approach to Coherent Asset Allocation
$77.17
$3.95 Shipping
  • Condition: New
  • Provider: LightningBooks Contact
  • Provider Rating:
    85%
  • Ships From: Multiple Locations
  • Shipping: Standard, Expedited (tracking available)
  • Comments: Fast shipping! All orders include delivery confirmation.

seal  
$55.28
$3.95 Shipping
  • Condition: Good
  • Provider: Orion Books Contact
  • Provider Rating:
    93%
  • Ships From: Arlington, TX
  • Shipping: Standard

seal  

Ask the provider about this item.

Most renters respond to questions in 48 hours or less.
The response will be emailed to you.
Cancel
  • ISBN-13: 9781107048119
  • ISBN: 1107048117
  • Publication Date: 2013
  • Publisher: Cambridge University Press

AUTHOR

Rebonato, Riccardo, Denev, Alexander

SUMMARY

Rebonato, Riccardo is the author of 'Portfolio Management under Stress : A Bayesian-Net Approach to Coherent Asset Allocation', published 2013 under ISBN 9781107048119 and ISBN 1107048117.

[read more]

Questions about purchases?

You can find lots of answers to common customer questions in our FAQs

View a detailed breakdown of our shipping prices

Learn about our return policy

Still need help? Feel free to contact us

View college textbooks by subject
and top textbooks for college

The ValoreBooks Guarantee

The ValoreBooks Guarantee

With our dedicated customer support team, you can rest easy knowing that we're doing everything we can to save you time, money, and stress.