Enhances learning about complex project management principles and practices through the introduction and discussion of a ...
Lire la suitePortfolio analysis and optimization, together with the associated risk assessment and management, require knowledge of the ...
Lire la suitePortfolio analysis and optimization, together with the associated risk assessment and management, require knowledge of the ...
Lire la suitePractitioners and researchers who have handled financial market data know that asset returns do not behave according to the ...
Lire la suiteOffers a range of practical information and exercises that will enhance your understanding of the tools, strategies, and ...
Lire la suiteFixed Income Trading and Risk Management: The Complete Guide delivers a comprehensive and innovative exposition of fixed ...
Lire la suiteThis book shows you how to take full advantage of Blend's interface, together with and Silverlight's vastly improved designer-developer ...
Lire la suiteThe objective of this book is to broadly illustrate the key aspects of water governance, mapping the spectrum of decision-making ...
Lire la suiteThis is the first monograph on fuzzy portfolio optimization. By using fuzzy mathematical approaches, quantitative analysis, ...
Lire la suiteRelevant information about key stock markets around the world Insights into the underlying dynamics of the world’s major ...
Lire la suiteCuts through the complex jargon that can alienate newcomers by providing a clear and accessible overview on how the stock ...
Lire la suiteConstitutes the refereed proceedings of the Second International Workshop on Hybrid Metaheuristics, HM 2005, held in Barcelona, ...
Lire la suiteThis book constitutes the refereed proceedings of the 5th International Workshop on Hybrid Metaheuristics, HM 2008, held ...
Lire la suiteIntroduces pattern recognition and future price forecasting that exerts effects on time series analysis models, such as the ...
Lire la suiteThis book puts numerical methods into action for the purpose of solving concrete problems arising in quantitative finance. ...
Lire la suiteDue to their business activities, banks are exposed to many different risk types. Aggregating various risk exposures to a ...
Lire la suiteInterest Rate Models: an Infinite Dimensional Stochastic Analysis Perspective studies the mathematical issues that arise ...
Lire la suiteInterest Rate Models: an Infinite Dimensional Stochastic Analysis Perspective studies the mathematical issues that arise ...
Lire la suiteIncludes numerous exercises and test questions to help you solidify what you have learned as you progress through the book, ...
Lire la suiteInvesting Amid Low Expected Returns: Making the Most When Markets Offer the Least provides an evidence-based blueprint for ...
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