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  • Scalar and Vector Risk in the General Framework of Portfolio Theory: A Convex An

    • Item No : 136224602050
    • Condition : Brand New
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    • Seller : the_nile
    • Current Bid : US $168.00
    • * Item Description

    • Efficient Portfolios for Scalar Risk Functions. - Efficient Portfolios for Vector Risk Functions. - Application Examples. - Appendix A Convex Programming Problems. This book is the culmination of the authors' industry-academic collaboration in the past several years.
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