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THE MATHEMATICS OF MONEY MANAGEMENT RISK ANALYSIS TECHNIQUES FOR TRAD.
VINCE R. wydawnictwo: WILEY , rok wydania 1992, wydanie I cena netto: 445.50 Twoja cena 423,23 zł + 5% vat - dodaj do koszyka Ralph Vince
ISBN: 0-471-54738-7
Hardcover Published: Apr 1992 Copyright: 1992
Permits traders in the
futures, options and stock markets to create profitable trading formulas based on the
rules of probability and modern portfolio theory. Shows how to develop and utilize key
formulas which minimize losses, maximize profits and avoid excessive risk. Reintroduces
the idea of ``optimal-f'' and its use in weighing and assigning values to the components
of a trader's portfolio. Includes a computer program for immediate hands-on usage of
techniques described.
Po otrzymaniu zamówienia poinformujemy, czy wybrany tytuł polskojęzyczny lub
anglojęzyczny jest aktualnie na półce księgarni.
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