Managing downside risk in financial markets:
Sortino, Frank A.
Managing downside risk in financial markets: theory, practice and implementation - Oxford Butterworth - Heinemann 2003 - xiv, 267p. 24cm.
0750648635 9780750648639
Investment analysis
Risk management
Portfolio theory
Investment risk
332.60151954 / MAN
Managing downside risk in financial markets: theory, practice and implementation - Oxford Butterworth - Heinemann 2003 - xiv, 267p. 24cm.
0750648635 9780750648639
Investment analysis
Risk management
Portfolio theory
Investment risk
332.60151954 / MAN
