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Portfolio Selection Using Multi-objective Optimisation
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Portfolio Selection Using Multi-objective Optimisation

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:NT$ 6750 元
優惠價
906075
若需訂購本書,請電洽客服 02-25006600[分機130、131]。
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作者簡介

商品簡介

This book explores the risk-return paradox in portfolio selection by incorporating multi-objective criteria. Empirical research is presented on the development of alternate portfolio models and their relative performance in the risk/return framework to provide solutions to multi-objective optimization. Next to outlining techniques for undertaking individual investor’s profiling and portfolio programming, it also offers a new and practical approach for multi-objective portfolio optimization. This book will be of interest to Foreign Institutional Investors (FIIs), Mutual Funds, investors, and researchers and students in the field.

作者簡介

Saurabh Agarwal is a Professor of Accounting and Finance at the Indian Institute of Finance, India. He holds a PhD from the University of Delhi, India and is a member of the Associated Chambers of Commerce & Industry of India (ASSOCHAM), Professor’s Forum of India, as well as the Indian Econometric Association. Professor Agarwal has published articles on portfolio management in a number of journals.

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優惠價:90 6075
若需訂購本書,請電洽客服 02-25006600[分機130、131]。

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