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Portfolio theory and risk management /
~
Capinski, Maciej J.
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Portfolio theory and risk management /
Record Type:
Language materials, printed : Monograph/item
Title/Author:
Portfolio theory and risk management // Maciej J. Capiński, Ekkehard Kopp.
Author:
Capinski, Maciej J.
other author:
Kopp, P. E.,
Published:
Cambridge, UK :Cambridge University Press, : 2014.,
Description:
x, 160 p. ;ill :23 cm.
Subject:
Portfolio management. -
ISBN:
9780521177146
Portfolio theory and risk management /
Capinski, Maciej J.
Portfolio theory and risk management /
Maciej J. Capiński, Ekkehard Kopp. - Cambridge, UK :Cambridge University Press,2014. - x, 160 p. ;ill :23 cm. - Mastering mathematical finance.
Includes bibliographical references and index.
With its emphasis on examples, exercises and calculations, this book suits advanced undergraduates as well as postgraduates and practitioners. It provides a clear treatment of the scope and limitations of mean-variance portfolio theory and introduces popular modern risk measures. Proofs are given in detail, assuming only modest mathematical background, but with attention to clarity and rigour. The discussion of VaR and its more robust generalizations, such as AVaR, brings recent developments in risk measures within range of some undergraduate courses and includes a novel discussion of reducing VaR and AVaR by means of hedging techniques. A moderate pace, careful motivation and more than 70 exercises give students confidence in handling risk assessments in modern finance. Solutions and additional materials for instructors are available at www.cambridge.org/9781107003675.
ISBN: 9780521177146US39.99
LCCN: 2014006178Subjects--Topical Terms:
646616
Portfolio management.
LC Class. No.: HG4529.5 / .C366 2014
Dewey Class. No.: 332.6
Portfolio theory and risk management /
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Portfolio theory and risk management /
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23 cm.
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Mastering mathematical finance
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Includes bibliographical references and index.
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With its emphasis on examples, exercises and calculations, this book suits advanced undergraduates as well as postgraduates and practitioners. It provides a clear treatment of the scope and limitations of mean-variance portfolio theory and introduces popular modern risk measures. Proofs are given in detail, assuming only modest mathematical background, but with attention to clarity and rigour. The discussion of VaR and its more robust generalizations, such as AVaR, brings recent developments in risk measures within range of some undergraduate courses and includes a novel discussion of reducing VaR and AVaR by means of hedging techniques. A moderate pace, careful motivation and more than 70 exercises give students confidence in handling risk assessments in modern finance. Solutions and additional materials for instructors are available at www.cambridge.org/9781107003675.
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Portfolio management.
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Risk management.
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Investment analysis.
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Kopp, P. E.,
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1944-
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544184
based on 0 review(s)
ISSUES
壽豐校區(SF Campus)
-
last issue:
1 (2015/12/07)
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六樓西文書區HC-Z(6F Western Language Books)
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1
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W0178355
六樓西文書區HC-Z(6F Western Language Books)
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HG4529.5 C366 2014
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