Portfolio Management under Stress > Editions
by Riccardo Rebonato First published December 31st 2013
Published February 24th 2014
by Cambridge University Press
Hardcover, 518 pages
Published January 9th 2014
by Cambridge University Press
Kindle Edition, 921 pages
Published
by Cambridge University Press
Hardcover, 0 pages
Published
by Cambridge University Press
Hardcover, 0 pages
Published December 18th 2013
by Cambridge University Press
ebook, 0 pages




![[(Portfolio Management Under Stress: A Bayesian-Net Approach to Coherent Asset Allocation)] [ By (author) Riccardo Rebonato, By (author) Alexander Denev ] [February, 2014]](https://i.gr-assets.com/images/S/compressed.photo.goodreads.com/books/1695680755l/133580117._SY75_.jpg)
