E-Book, Englisch, Band 23, 310 Seiten, eBook
Kariya Quantitative Methods for Portfolio Analysis
Erscheinungsjahr 2012
ISBN: 978-94-011-1721-0
Verlag: Springer Netherland
Format: PDF
Kopierschutz: 1 - PDF Watermark
MTV Model Approach
E-Book, Englisch, Band 23, 310 Seiten, eBook
Reihe: Theory and Decision Library B
ISBN: 978-94-011-1721-0
Verlag: Springer Netherland
Format: PDF
Kopierschutz: 1 - PDF Watermark
Zielgruppe
Research
Autoren/Hrsg.
Weitere Infos & Material
I Quantitative Models for Portfolio Analysis.- 1 Quantitative Approach to Asset Allocation.- 2 Empirical Features of Financial Returns.- 3 Univariate Financial Time Series Models.- 4 Multivariate Financial Time Series Models.- 5 MTV Model and Its Applications.- II Quantitative Asset Allocation Systems.- 6 Quantitative Portfolio Construction Procedures.- 7 Multifactor Models and their Applications.- 8 B. Rosenberg Models and their Applications.- 9 Selection of Port folio Population.- 10 Optimal MTV Market Portfolio.- 11 Index Portfolio and Canonical Correlation Portfolio.- III Statistical Approach To Option Pricing And Bond Pricing.- 12 Black-Scholes Option Theory and Its Applications.- 13 Practical Option Pricing and Related Topics.- 14 Statistical Bond Pricing Models.- References.