Misurare e gestire il rischio finanziario
L'opera si rivolge a due grandi classi di utenti: gli studenti e coloro che lavorano presso investitori istituzionali. Tutti i corsi che trattano di finanza dei mercati troveranno in questo volume un buon compendio per mostrare immediate applicazioni informatiche della teoria finanziaria. Il li...
Main Author: | Menoncin, Francesco (Author) |
---|---|
Corporate Author: | SpringerLink (Online service) |
Format: | Electronic eBook |
Language: | Italian |
Published: |
Milano :
Springer Milan,
2009.
|
Subjects: | |
Online Access: | Full Text via HEAL-Link |
Similar Items
-
Real Estate Investment Trusts in Europe Evolution, Regulation, and Opportunities for Growth /
Published: (2013) -
Business Taxation and Financial Decisions
by: Schanz, Deborah, et al.
Published: (2011) -
Exploring the Mechanics of Chronic Inflation and Hyperinflation
by: Barbosa, Fernando de Holanda
Published: (2017) -
China Accounting Standards Introduction and Effects of New Chinese Accounting Standards for Business Enterprises /
by: Riccardi, Lorenzo
Published: (2016) -
The Dynamics of Emerging Stock Markets Empirical Assessments and Implications /
by: Arouri, Mohamed El Hedi, et al.
Published: (2010)