Managing downside risk in financial markets
Sortino, Frank A.
Managing downside risk in financial markets theory, practice and implementation - London Butterworth 2001 - xiv, 267p. 23cm
0750648635
INVESTMENT AND INVESTMENTS
332.60151954 / MAN
Managing downside risk in financial markets theory, practice and implementation - London Butterworth 2001 - xiv, 267p. 23cm
0750648635
INVESTMENT AND INVESTMENTS
332.60151954 / MAN