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Network Models in Finance : Expanding the Tools for Portfolio and Risk Management, Hardcover by Konstantinov, Gueorgui S.; Fabozzi, Frank J., ISBN 139427968X, ISBN-13 9781394279685, Like New Used, Free shipping in the US
"*Network Models in Finance: Expanding the Tools for Portfolio and Risk Management* explores the application of network theory to asset management, emphasizing how network-based methodologies can enhance portfolio and risk management. Th integratesquantitative modeling, causal relationships, and optimization within a network framework, extending beyond traditional asset management tools. It provides a comprehensive overview of graph-theoretical approaches and practical implementations using R, bridging classical methods with modern financial data science. By offering both theoretical insights and practical applications, th aims to address complex challenges in finance, making it a valuable resource for practitioners and academics seeking advanced network-based solutions in asset management"--
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