Portfolio Analysis From Probabilistic to Credibilistic and Uncertain Approaches /
The most salient feature of security returns is uncertainty. The purpose of the book is to provide systematically a quantitative method for analyzing return and risk of a portfolio investment in different kinds of uncertainty and present the ways for striking a balance between investment return and...
Saved in:
| 主要作者: | |
|---|---|
| 企業作者: | |
| 格式: | 電子 電子書 |
| 語言: | English |
| 出版: |
Berlin, Heidelberg :
Springer Berlin Heidelberg : Imprint: Springer,
2010.
|
| 版: | 1st ed. 2010. |
| 叢編: | Studies in Fuzziness and Soft Computing,
250 |
| 主題: | |
| 在線閱讀: | https://doi.org/10.1007/978-3-642-11214-0 |
| 標簽: |
添加標簽
沒有標簽, 成為第一個標記此記錄!
|
書本目錄:
- What Is Portfolio Analysis
- Probabilistic Portfolio Selection
- Credibilistic Portfolio Selection
- Uncertain Portfolio Selection
- Model Varieties.



