LIBRISTO
LIBROAMANTO
povinné
Staňte sa súčasťou komunity milovníkov kníh z celého sveta a získajte hromadu výhod. Založiť účet zdarma
0
Doprava zadarmo s Packetou nad 59.99 €
Kuriér DPD 2.99 Kuriér GLS 3.99 Zberné miesto GLS 2.49 SPS 3.99 SPS Parcel Shop 2.99 Packeta kurýr 3.99 Slovenská pošta 3.99 Zberné miesto DPD 2.99 Packeta 2.99

Doprava zdarma pre objednávky nad 59,99 € s Packetou a SPS Boxmi.

Portfolio Analysis

From Probabilistic to Credibilistic and Uncertain Approaches

Jazyk AngličtinaAngličtina
Kniha Pevná
Kniha Portfolio Analysis Xiaoxia Huang
Libristo kód: 01655313
The most salient feature of security returns is uncertainty. The purpose of the book is to provide s... Celý popis
? points 265 b
109.15
Skladom u dodávateľa v malom množstve Odosielame za 13-18 dní

Až 30 dní na vrátenie tovaru


Zákazníci tiež kúpili


Universalien des Übersetzens Magda Jeanrenaud / Kniha Brožovaná
common.buy 46.90

The most salient feature of security returns is uncertainty. The purpose of the book is to provide systematically a quantitative method for analyzing return and risk of a portfolio investment in different kinds of uncertainty and present the ways for striking a balance between investment return and risk such that an optimal portfolio can be obtained.§In classical portfolio theory, security returns were assumed to be random variables, and probability theory was the main mathematical tool for handling uncertainty in the past. However, the world is complex and uncertainty is varied. Randomness is not the only type of uncertainty in reality, especially when human factors are included. Security market, one of the most complex markets in the world, contains almost all kinds of uncertainty. The security returns are sensitive to various factors including economic, social, political and very importantly, people s psychological factors. Therefore, other than strict probability method, scholars have proposed some other approaches including imprecise probability, possibility, and interval set methods, etc., to deal with uncertainty in portfolio selection since 1990s. In this book, we want to add to the tools existing in science some new and unorthodox approaches for analyzing uncertainty of portfolio returns. When security returns are fuzzy, we use credibility which has self-duality property as the basic measure and employ credibility theory to help make selection decision such that the decision result will be consistent with the laws of contradiction and excluded middle. Being aware that one tool is not enough for solving complex practical problems, we further employ uncertain measure and uncertainty theory to help select an optimal portfolio when security returns behave neither randomly nor fuzzily.

Herečka & Polyglotka
EWA KASP pre
Prehrať video
Ewa Kasp
Libristo má najväčší výber cudzojazyčnej literatúry. Preto si knihy kupujem tu.

Informácie o knihe

Celý názov Portfolio Analysis
Jazyk Angličtina
Väzba Kniha - Pevná
Dátum vydania 2001
Počet strán 182
EAN 9783642112133
ISBN 3642112137
Libristo kód 01655313
Váha 1000
Rozmery 155 x 235 x 23
Darujte túto knihu ešte dnes
Je to jednoduché
1 Pridajte knihu do košíka a vyberte možnosť doručiť ako darček 2 Obratom Vám zašleme poukaz 3 Knihu zašleme na adresu obdarovaného

Mohlo by vás tiež zaujímať


From Acorns to Warehouses Thomas C. Patterson / Kniha Pevná
common.buy 243.23
Perceptive Graffitti Kevin Munt / Kniha Brožovaná
common.buy 10.38
Travels in Morocco Mrs J E Richardson / Kniha Brožovaná
common.buy 23.50
FM 3-75 Ranger Operations: May 2012 Headquarters Department of The Army / Kniha Brožovaná
common.buy 11.69

Prihlásenie

Prihláste sa k svojmu účtu. Ešte nemáte Libristo účet? Vytvorte si ho teraz!

 
povinné
povinné

Nemáte účet? Získajte výhody Libristo účtu!

Vďaka Libristo účtu budete mať všetko pod kontrolou.

Vytvoriť Libristo účet
Knižný radca Libroamiko
Ahoj, som Libroamiko, môžem pomôcť?