Stephen Satchell
Genre
|
Market Momentum: Theory and Practice
by |
|
|
Collectible Investments for the High Net Worth Investor
—
published
2009
—
8 editions
|
|
|
Forecasting Volatility in the Financial Markets
by
—
published
2002
—
9 editions
|
|
|
Asset Management: Portfolio Construction, Performance and Returns
|
|
|
Managing Downside Risk in Financial Markets
by
—
published
2001
—
3 editions
|
|
|
Forecasting Expected Returns in the Financial Markets
—
published
2007
—
8 editions
|
|
|
The Econometrics of Risk
by |
|
|
Optimizing Optimization: The Next Generation of Optimization Applications and Theory
—
published
2009
—
5 editions
|
|
|
Water and Peace in the Middle East
by
—
published
1994
|
|
|
Advances in Portfolio Construction and Implementation
by
—
published
2003
|
|
Is this you? Let us know. If not, help out and invite Stephen to Goodreads.

