Format:
XXVI, 532 S. :
,
graph. Darst.
Edition:
Reprint of the 2007 ed.
ISBN:
978-3-642-00964-8
,
978-3-540-27904-4
,
978-3-540-22213-2
Series Statement:
Springer finance
Note:
Literaturverz. S. 505 - 513
Language:
English
Subjects:
Economics
,
Mathematics
Keywords:
Portfolio Selection
;
Finanzmathematik
;
Risikomanagement