Managing Downside Risk in Financial Markets : Theory, Practice and Implementation.
SORTINO Frank A. ; SATCHELL Stephen E.
2001
267
0750648635
131.56-SORTI
FINANCIAL MARKET ; FINANCIAL MATHEMATICS ; NETHERLANDS ; PORTFOLIO MANAGEMENT ; FINANCIAL RISK ; INVESTMENT ; FINANCIAL RATIO ; PERFORMANCE ; CAPITAL
No. | Call n° | Bar code | Commentary | |
---|---|---|---|---|
1 | [available] |
Language : English
Figure(s) : Schémas
Location : Nice Library
Material : Paper
Statement : Présent
Owner : Bibliothèque