Détails
Collection
n.c
Parution
2017-11-17
Pages
278 pages
EAN papier
9783319609690
Langue
Anglais
Informations ebook
EAN PDF
9783319609706
Prix
58,01 €
En savoir plus
Nb pages copiables 2
Nb pages imprimables 27
Taille du fichier 5458 Ko
EAN EPUB
9783319609706
Prix
58,01 €
En savoir plus
Nb pages copiables 2
Nb pages imprimables 27
Taille du fichier 3011 Ko
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Auteur(s) du livre


Valeriy Zakamulin is Professor of Finance at the School of Business and Law, University of Agder, Norway. He has an M.S. in Business Administration and a PhD in Finance from the Norwegian School of Economics, Norway. He has published articles for various refereed academic and practitioner journals and is a frequent speaker at international conferences. He has also served on the Editorial Board of the Open Economics Journal, Journal of Banking and Finance, and International Journal of Emerging Markets. His current research interests cover behavioral finance, portfolio optimization, time-series analysis of financial data, and stock return and risk predictability.
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