Quantitative Perspectives on Behavioral Economics and Finance

Rasta: 8
Postmodern Portfolio Theory: Navigating Abnormal Markets and Investor Behavior
-15% su kodu: ENG15
194,46 
228,78 
Išsiųsime per 11-15 d. d.
Finance and the Behavioral Prospect: Risk, Exuberance, and Abnormal Markets
-15% su kodu: ENG15
145,84 
171,58 
Išsiųsime per 11-15 d. d.
Econophysics and Capital Asset Pricing: Splitting the Atom of Systematic Risk
-15% su kodu: ENG15
179,50 
211,18 
Išsiųsime per 11-15 d. d.
Multi-Market Antitrust Economics
-15% su kodu: ENG15
82,26 
96,78 
Išsiųsime per 11-15 d. d.
Illustrating Finance Policy with Mathematica
-15% su kodu: ENG15
127,14 
149,58 
Išsiųsime per 11-15 d. d.
Finance and the Behavioral Prospect: Risk, Exuberance, and Abnormal Markets
-15% su kodu: ENG15
145,84 
171,58 
Išsiųsime per 11-15 d. d.
Econophysics and Capital Asset Pricing: Splitting the Atom of Systematic Risk
-15% su kodu: ENG15
179,50 
211,18 
Išsiųsime per 11-15 d. d.
Illustrating Finance Policy with Mathematica
-15% su kodu: ENG15
127,14 
149,58 
Išsiųsime per 11-15 d. d.
Rasta: 8