[local]A Meucci Risk and Asset Allocation Routines.zip[/local]
These routines complement the textbook
RISK AND ASSET ALLOCATION
Springer Quantitative Finance
by Attilio Meucci
Ch1_UniVariateDistributions
Ch2_MultiVariateDistributions
Ch3_ModellingMarket
Ch4_EstimatingInvariants
Ch5_EvaluatingAllocations
Ch6_OptimizingAllocations
Ch7_BayesianEstimation
Ch8_EvalEstimationRisk
Ch9_OptimEstimationRisk
Extras


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