株式会社極東書店トップ商品一覧Quantitative Risk and Portfolio Management : Theory and Practice.

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Quantitative Risk and Portfolio Management

Quantitative Risk and Portfolio Management : Theory and Practice.

・ISBN 978-1-009-20904-5 hard GB£ 57.00

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お気に入り
電子版あり 大学・学術機関向け電子ブック(eBook)ISBN 978-1-009-20909-0
著者・編者Winston, Kenneth J.,
出版社(Cambridge U. Pr., UK)
出版年月2023.09
ページ数927 pp.
言語ENG
ニュース番号<697-227>

解説

A comprehensive modern introduction to risk and portfolio management for quantitatively adept advanced undergraduate and beginning graduate students who will become practitioners in the field of quantitative finance. With a focus on real-world application, but providing a background in academic theory, this text builds a firm foundation of rigorous but practical knowledge. Extensive live data and Python code are provided as online supplements, allowing a thorough understanding of how to manage risk and portfolios in practice. With its detailed examination of how mathematical techniques are applied to finance, this is the ideal textbook for giving students with a background in engineering, mathematics or physics a route into the field of quantitative finance.