Introduction to Mathematical Portfolio Theory > Editions

by Mark S. Joshi First published June 30th 2013

Introduction to Mathematical Portfolio Theory (International Series on Actuarial Science)
Published August 19th 2013 by Cambridge University Press
1, Hardcover, 325 pages
ISBN:
9781107042315 (ISBN10: 1107042313)
ASIN:
1107042313
Edition language:
English
Average rating:
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Introduction to Mathematical Portfolio Theory (International Series on Actuarial Science) 1st edition by Joshi, Mark S., Paterson, Jane M. (2013) Hardcover
Published by Cambridge University Press
1, Hardcover, 0 pages
Author(s):
ASIN:
B010WFCTC4
Edition language:
English
Average rating:
0.0 (0 ratings)
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