風險預測、條件風險值與最適投資組合績效 = Risk measure, ...
羅妃珊

 

  • 風險預測、條件風險值與最適投資組合績效 = Risk measure, conditional var and the performance of portfolio optimization
  • Record Type: Language materials, printed : monographic
    Paralel Title: Risk measure, conditional var and the performance of portfolio optimization
    Author: 羅妃珊,
    Secondary Intellectual Responsibility: 許江河,
    Place of Publication: 雲林縣
    Published: 國立虎尾科技大學;
    Year of Publication: 民97[2008]
    Edition: 初版
    Description: 102面圖 : 30公分;
    Subject: 投資組合;風險值;條件風險值;EQMA;EWMA;Bootstrap
    Subject: Portfolio Management; Value-at-Risk; Conditional Value-at-Risk; EQMA; EWMA; Bootstrap
    Online resource: http://cetd.lib.nfu.edu.tw/etdservice/view_metadata?etdun=U0028-0407200811245700
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  • 2 records • Pages 1 •
 
T000340 圖書館B1F 博碩士論文專區 不流通(NON_CIR) 碩士論文(TM) 008.156M 6041 97 1 一般使用(Normal) On shelf 0
T000341 圖書館B1F 可外借論文區 不流通(NON_CIR) 一般圖書 008.156M 6041 97 2 一般使用(Normal) On shelf 0
  • 2 records • Pages 1 •
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