Markowitz Portfolio Selection Und Estimation Risk (German Edition),Used

Markowitz Portfolio Selection Und Estimation Risk (German Edition),Used

In Stock
SKU: SONG3638906094
Brand: Grin Verlag
Sale price$53.99 Regular price$77.13
Save $23.14
Quantity
Add to wishlist
Add to compare

Processing time: 1-3 days

US Orders Ships in: 3-5 days

International Orders Ships in: 8-12 days

Return Policy: 15-days return on defective items

Payment Option
Payment Methods

Help

If you have any questions, you are always welcome to contact us. We'll get back to you as soon as possible, withing 24 hours on weekdays.

Customer service

All questions about your order, return and delivery must be sent to our customer service team by e-mail at yourstore@yourdomain.com

Sale & Press

If you are interested in selling our products, need more information about our brand or wish to make a collaboration, please contact us at press@yourdomain.com

Forschungsarbeit aus dem Jahr 2007 im Fachbereich BWL Bank, Brse, Versicherung, LudwigMaximiliansUniversitt Mnchen (Finance&Banking), 9 Quellen im Literaturverzeichnis, Sprache: Deutsch, Abstract: Diese Arbeit beschftigt sich mit dem Einfluss von Strgren bzgl. der zu schtzenden Inputparameter der MarkowitzPortfolioSelektion. Dabei wird simulativ deren Auswirkung auf den erwarteten Return ermittelt. Ferner ermittelt der beiliegende Matlabcode auch optimale Portfolien, Renditeverteilungen, etc.

⚠️ WARNING (California Proposition 65):

This product may contain chemicals known to the State of California to cause cancer, birth defects, or other reproductive harm.

For more information, please visit www.P65Warnings.ca.gov.

Recently Viewed