Mastering attribution in finance : a practitioner's guide to risk-based analysis of investment returns
by
 
Colin, Andrew, author.

Title
Mastering attribution in finance : a practitioner's guide to risk-based analysis of investment returns

Author
Colin, Andrew, author.

ISBN
9781292114057
 
9781292114040

Personal Author
Colin, Andrew, author.

Physical Description
1 online resource (xxi, 289 pages) : illustrations

Series
Financial Times Series

Local Note
O'Reilly

Subject Term
Portfolio management.
 
Rate of return -- Mathematical models.
 
Investments.
 
Fixed-income securities.
 
Technical analysis (Investment analysis)
 
Investments
 
Gestion de portefeuille.
 
Taux de rendement -- Modèles mathématiques.
 
Investissements.
 
Analyse technique (Analyse financière)
 
Fixed-income securities. (OCoLC)fst00926888
 
Investments. (OCoLC)fst00978234
 
Portfolio management. (OCoLC)fst01072072
 
Rate of return -- Mathematical models. (OCoLC)fst01090241
 
Technical analysis (Investment analysis) (OCoLC)fst01747072

Genre
Electronic books.

Electronic Access
https://learning.oreilly.com/library/view/~/9781292114057/?ar
 
https://go.oreilly.com/library-access/library/view/-/9781292114057/?ar


LibraryMaterial TypeItem BarcodeShelf NumberStatus
IYTE LibraryE-Book2310179-1001HG4529.5O'reilly E-Books