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Upravlenie Finansovymi Aktivami V Usloviyakh Neopredelennosti: Monografiya Konstantin Ermolenko Russian edition
Upravlenie Finansovymi Aktivami V Usloviyakh Neopredelennosti: Monografiya
Konstantin Ermolenko
Monografiya posvyashchena izlozheniyu nauchno obosnovannykh printsipov postroeniya investitsionnoy politiki na finansovykh rynkakh v usloviyakh neopredelennosti. Pri etom rech' idet kak ob upravlenii vysokolikvidnymi, tak i nizkolikvidnymi aktivami. Naryadu s khorosho izvestnymi predlagayutsya novye investitsionnye produkty, khorosho zarekomendovavshie sebya v poslednee vremya pri osushchestvlenii prakticheskoy deyatel'nosti na real'nykh finansovykh rynkakh. Monografiya prednaznachena dlya investitsionnykh upravlyayushchikh, nauchnykh rabotnikov, prepodavateley uchebnykh zavedeniy, a takzhe dlya studentov i aspirantov, obuchayushchikhsya po napravleniyu «Matematicheskie i instrumental'nye metody ekonomiki». Nesmotrya na to, chto material izlagaetsya na otnositel'no vysokom urovne matematicheskoy strogosti, prakticheski vse osnovnye vyvody i algoritmy resheniya rassmatrivaemykh investitsionnykh zadach vpolne dostupny dlya ponimaniya chitatelyami, ne obladayushchimi professional'nym urovnem matematicheskoy podgotovki.
| Media | Books Paperback Book (Book with soft cover and glued back) |
| Released | May 22, 2013 |
| ISBN13 | 9783659984884 |
| Publishers | Palmarium Academic Publishing |
| Pages | 308 |
| Dimensions | 150 × 17 × 226 mm · 477 g |
| Language | German |