Portfolio Management Under Stress: A Bayesian-Net Approach to Coherent Asset Allocation, (Hardcover)
Portfolio Management Under Stress: A Bayesian-Net Approach to Coherent Asset Allocation, (Hardcover)
Hero image 0 of Portfolio Management Under Stress: A Bayesian-Net Approach to Coherent Asset Allocation, (Hardcover), 0 of 1

Portfolio Management Under Stress: A Bayesian-Net Approach to Coherent Asset Allocation, (Hardcover)

(No ratings yet)

Key item features

  • Portfolio Management Under Stress: A Bayesian-Net Approach to Coherent Asset Allocation, (Hardcover)
  • Author: Cambridge University Press
  • ISBN: 9781107048119
  • Format: Hardcover
  • Publication Date: 2014-01-09
  • Page Count: 518
Current price is $95.00
Price when purchased online
  • Free shipping
  • Free 30-day returns
$95.00
Out of stock

How do you want your item?

How do you want your item?
Ships to
Arrives by Wed, May 20
|
Sold and shipped by thebookpros
4.45746962115797 stars out of 5, based on 4197 seller reviews(4.5)
Report an issue with this seller
Free 30-day returns

More seller options (3)

Starting from $95.00

About this item

Product details

Specifications

Warranty

Customer ratings & reviews

0 ratings|0 reviews
This item does not have any reviews yet