Portfolio Management under Stress > Editions
by Riccardo Rebonato First published December 31st 2013
Published February 24th 2014
by Cambridge University Press
Hardcover, 518 pages
Author(s):
ISBN:
9781107048119
(ISBN10: 1107048117)
ASIN:
1107048117
Edition language:
English
Average rating:
3.88
(8 ratings)
Published January 9th 2014
by Cambridge University Press
Kindle Edition, 921 pages
Author(s):
ISBN:
9781107705418
(ISBN10: 110770541X)
ASIN:
B00GA22YPQ
Edition language:
English
Average rating:
2.00
(1 rating)
Published
by Cambridge University Press
Hardcover, 0 pages
Author(s):
ASIN:
B010CL4KW0
Average rating:
0.0
(0 ratings)
Published
by Cambridge University Press
Hardcover, 0 pages
Author(s):
ASIN:
B00L6YVJUE
Edition language:
English
Average rating:
0.0
(0 ratings)
Published December 18th 2013
by Cambridge University Press
ebook, 0 pages
Author(s):
ISBN:
9781107256736
(ISBN10: 1107256739)
ASIN:
1107256739
Edition language:
English
Average rating:
0.0
(0 ratings)




![[(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)
