We can't find the internet
Attempting to reconnect
Something went wrong!
Hang in there while we get back on track
£76.00
World Scientific Publishing Company Risk-Sensitive Investment Management (Advanced Series on Statistical Science & Applied Probability): 19
Price data last checked 57 day(s) ago - refreshing...
Price History & Forecast
Last 34 days • 34 data points (No recent data available)
Price Distribution
Price distribution over 34 days • 4 price levels
Price Analysis
Most common price: £84 (23 days, 67.6%)
Price range: £75 - £84
Price levels: 4 different prices over 34 days
Description
Product Specifications
- Format
- Hardcover
- ASIN
- 9814578037
- Domain
- Amazon UK
- Release Date
- 30 September 2014
- Listed Since
- 28 October 2013
Barcode
No barcode data available
Similar Products You Might Like
Model Risk In Financial Markets: From Financial Engineering To Risk Management
World Scientific Publishing Company
Recent Applications of Financial Risk Modelling and Portfolio Management (Advances in Finance, Accoutning, and Economics)
Business Science Reference
Recent Applications of Financial Risk Modelling and Portfolio Management
Business Science Reference
Risk and Portfolio Analysis: Principles and Methods (Springer Series in Operations Research and Financial Engineering)
Springer
Mathematical and Statistical Methods for Actuarial Sciences and Finance
Springer
Fundamentals of Institutional Asset Management: 0 (World Scientific Series in Finance) (World Scientific Finance)
World Scientific Publishing Company
Quantitative Fund Management (Chapman & Hall/CRC Financial Mathematics)
CRC Press
Advanced Portfolio Optimization: A Cutting-edge Quantitative Approach
Asset Management: Tools And Issues
World Scientific Publishing Company
Springer Applied Stochastic Models and Control for Finance
Springer
Portfolio Risk Analysis
Princeton University Press
Risk and Financial Management: Mathematical and Computational Methods
Wiley
Investment Management (Wiley Frontiers in Finance)
Wiley
Portfolio Optimization and Performance Analysis (Chapman and Hall/CRC Financial Mathematics Series)
CRC Press
Extreme Risk Management: Revolutionary Approaches to Evaluating and Measuring Risk (PROFESSIONAL FINANCE & INVESTM)
McGraw-Hill Education
Quantitative Analysis, Derivatives Modeling, and Trading Strategies: In the Presence of Counterparty Credit Risk for the Fixed-Income Market
World Scientific Publishing Company
Security Analysis, Portfolio Management, and Financial Derivatives
World Scientific Publishing Company
Portfolio Management: Theory, Behavioral Aspects and Applications
CREATESPACE
Handbook Of Global Financial Markets: Transformations, Dependence, And Risk Spillovers (Money Banking Investments Fina)
World Scientific Publishing Company
Risk-Averse Optimization and Control: Theory and Methods (Springer Series in Operations Research and Financial Engineering)
Springer
Springer Applied Stochastic Models and Control for Finance
Springer
Risk Management (PROFESSIONAL FINANCE & INVESTM)
McGraw-Hill Education
Liquidity Dynamics and Risk Modeling: Navigating Trading and Investment Portfolios Frontiers with Machine Learning Algorithms
Bond Portfolio Investing and Risk Management: Positioning Fixed Income Portfolios for Robust Returns After the Financial Crisis (PROFESSIONAL FINANCE & INVESTM)
McGraw-Hill Education