Alternative Decision-Making Models for Financial Portfolio Management

Emerging Research and Opportunities

Business & Finance, Finance & Investing, Finance, Investments & Securities
Cover of the book Alternative Decision-Making Models for Financial Portfolio Management by Narela Spaseski, IGI Global
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Author: Narela Spaseski ISBN: 9781522532613
Publisher: IGI Global Publication: August 11, 2017
Imprint: Business Science Reference Language: English
Author: Narela Spaseski
ISBN: 9781522532613
Publisher: IGI Global
Publication: August 11, 2017
Imprint: Business Science Reference
Language: English
Economics is an integral aspect to every successful society, yet basic financial practices have gone unchanged for decades. Analyzing unconventional finance methods can provide new ways to ensure personal financial futures on an individual level, as well as boosting international economies. Alternative Decision-Making Models for Financial Portfolio Management: Emerging Research and Opportunities is an essential reference source that discusses methods and techniques that make financial administration more efficient for professionals in economic fields. Featuring relevant topics such as mean-variance portfolio theory, decision tree analysis, risk protection strategies, and asset-liability management, this publication is ideal for academicians, students, economists, and researchers that would like to stay current on new and innovative methods to transform the financial realm.
View on Amazon View on AbeBooks View on Kobo View on B.Depository View on eBay View on Walmart
Economics is an integral aspect to every successful society, yet basic financial practices have gone unchanged for decades. Analyzing unconventional finance methods can provide new ways to ensure personal financial futures on an individual level, as well as boosting international economies. Alternative Decision-Making Models for Financial Portfolio Management: Emerging Research and Opportunities is an essential reference source that discusses methods and techniques that make financial administration more efficient for professionals in economic fields. Featuring relevant topics such as mean-variance portfolio theory, decision tree analysis, risk protection strategies, and asset-liability management, this publication is ideal for academicians, students, economists, and researchers that would like to stay current on new and innovative methods to transform the financial realm.

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