Kód: 21333026
Examines the proper selection of financial instruments in a financial portfolio management scenario in terms of metaheuristic approaches. This book also explores measures used for the evaluation of risks/returns of portfolios in r ... celý popis
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Examines the proper selection of financial instruments in a financial portfolio management scenario in terms of metaheuristic approaches. This book also explores measures used for the evaluation of risks/returns of portfolios in real-life situations, and features research on closed-end funds, asset allocation, and risk-return paradigm.
6481 Kč
Osobní odběr Praha, Brno a 12903 dalších
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