This book is intended to provide a modern, up-to-date presentation of financial econometrics. It was written for students in finance and practitioners in the financial services sector. Initially and primarily used in the derivative business, mathematical models have progressively conquered all areas of risk management and are now widely used also in portfolio construction. The choice of topics and walk-through examples in this book reflect the current use of modeling in all areas of investment management.
جهت استعلام قیمت و سفارش چاپ این محصول لطفا با انتشارات گنج حضور تماس حاصل فرمایید