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Alternative Decision-Making Models for Financial Portfolio Management

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About Alternative Decision-Making Models for Financial Portfolio Management

Discusses methods and techniques that make financial administration more efficient for professionals in economic fields. Featuring relevant topics such as mean-variance portfolio theory, decision tree analysis, risk protection strategies, and asset-liability management, this publication is ideal for academics, students, economists, and researchers.

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  • Language:
  • English
  • ISBN:
  • 9781522532590
  • Binding:
  • Hardback
  • Pages:
  • 206
  • Published:
  • August 10, 2017
Delivery: 2-3 weeks
Expected delivery: December 6, 2024

Description of Alternative Decision-Making Models for Financial Portfolio Management

Discusses methods and techniques that make financial administration more efficient for professionals in economic fields. Featuring relevant topics such as mean-variance portfolio theory, decision tree analysis, risk protection strategies, and asset-liability management, this publication is ideal for academics, students, economists, and researchers.

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