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Scalar and Vector Risk in the General Framework of Portfolio Theory / CMS/CAIMS Books in Mathematics Bd.9 (PDF)

A Convex Analysis Approach (Sprache: Englisch)
 
 
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This book is the culmination of the authors' industry-academic collaboration in the past several years. The investigation is largely motivated by bank balance sheet management problems. The main difference between a bank balance sheet management problem and...
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Bestellnummer: 150451201

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