Rôzne prístupy k analýze portfólia

Pojem finančné portfólio. Markowitzová formulácia riadenia rizika. Metóda Value at risk, jej kritika. Capital asset princing model. Conditional value at risk (CVaR).

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Bibliographic Details
Main Author: Brezina, Ivan, ml
Format: Book Chapter
Language:Slovak
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