|
|
|||
Comprises a series of papers about risk management and the developments in the field. Covering topics such as Stochastic Volatility, Risk Dynamics, Weather Derivatives and Portfolio Diversification, this book is useful for portfolio allocation for both private and institutional investors.This book comprises an edited series of papers about risk management and the latest developments in the field. Covering topics such as Stochastic Volatility, Risk Dynamics, Weather Derivatives and Portfolio Diversification, this book will have broad international appeal. It is highly relevant for optimal portfolio allocation for both private and institutional investors worldwide. |
|
| Author(s) : Greg N. Gregoriou | Format : Hardback Book |
| ISBN-10 : 0230019161 | ISBN-13 : 9780230019164 |
| RRP : £125.00 | Best available price : £ / $ |
| Prices as of : BST check live prices | |
Series Title : Finance & Capital Markets S.
Country Publication : United Kingdom
Publication Date : 17/11/2006
Publisher : Palgrave Macmillan
Page Length : 320mm
Page Size : 234mm