Managing downside risk in financial markets theory, practice and implementation
Sortino, Frank A. Satchell, Stephen E.
Managing downside risk in financial markets theory, practice and implementation - Oxford Butterworth Heinemann 2003 - xiv,267 p.
Investment Analysis-Statistical Methods
Risk Management-Statistical Methods
332.60151954 / S62M
Managing downside risk in financial markets theory, practice and implementation - Oxford Butterworth Heinemann 2003 - xiv,267 p.
Investment Analysis-Statistical Methods
Risk Management-Statistical Methods
332.60151954 / S62M