Advanced Stochastic Models, Risk Assessment, and Portfolio Optimization - The Ideal Risk, Uncertainty, and Performance Measures (Electronic book text, 1st edition)

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This groundbreaking book extends traditional approaches of risk measurement and portfolio optimization by combining distributional models with risk or performance measures into one framework. Throughout these pages, the expert authors explain the fundamentals of probability metrics, outline new approaches to portfolio optimization, and discuss a variety of essential risk measures. Using numerous examples, they illustrate a range of applications to optimal portfolio choice and risk theory, as well as applications to the area of computational finance that may be useful to financial engineers.

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Product Description

This groundbreaking book extends traditional approaches of risk measurement and portfolio optimization by combining distributional models with risk or performance measures into one framework. Throughout these pages, the expert authors explain the fundamentals of probability metrics, outline new approaches to portfolio optimization, and discuss a variety of essential risk measures. Using numerous examples, they illustrate a range of applications to optimal portfolio choice and risk theory, as well as applications to the area of computational finance that may be useful to financial engineers.

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Product Details

General

Imprint

John Wiley & Sons

Country of origin

United States

Series

Frank J. Fabozzi Series, 149

Release date

February 2008

Availability

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First published

2008

Authors

, ,

Format

Electronic book text

Pages

400

Edition

1st edition

ISBN-13

978-0-470-25360-1

Barcode

9780470253601

Categories

LSN

0-470-25360-6



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