Scalar and Vector Risk in the General Framework of Portfolio Theory
A Convex Analysis Approach
We couldn't estimate the reading time for this book.
Publication
2023 - Springer International Publishing AG
Language
English
Word Count
0 words, Guess
Page Count
0 pages
Identifiers
- ISBN-139783031333200
- ISBN-103031333209
- Better World Books9783031333200
- Open LibraryOL48186372M
Classifications
- LCCH61.25
Subjects
Other Editions
- Scalar and Vector Risk in the General Framework of Portfolio Theory: A Convex Analysis Approach
Reader Reviews
No reviews yet for this book.
Be the first to share your thoughts!