Alternative decision-making models for financial portfolio management: emerging research and opportunities

An essential reference source that discusses methods and techniques that make financial administration more efficient for professionals in economic fields. Featuring relevant topics such as mean-variance portfolio theory, decision tree analysis, risk protection strategies, and asset-liability manage...

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Bibliographische Detailangaben
1. Verfasser: Spaseski, Narela 1982- (VerfasserIn)
Format: Elektronisch E-Book
Sprache:English
Veröffentlicht: Hershey PA, USA IGI Global, Disseminator of Knowledge [2018]
Schriftenreihe:Advances in finance, accounting, and economics (AFAE) book series
Research insights
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Online-Zugang:DE-1050
DE-573
DE-1049
DE-91
DE-706
DE-20
DE-898
DE-83
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Zusammenfassung:An essential reference source that discusses methods and techniques that make financial administration more efficient for professionals in economic fields. Featuring relevant topics such as mean-variance portfolio theory, decision tree analysis, risk protection strategies, and asset-liability management, this publication is ideal for academicians, students, economists, and researchers that would like to stay current on new and innovative methods to transform the financial realm
Beschreibung:1 Online-Ressource (xii, 333 Seiten) Illustrationen
ISBN:9781522532606

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