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An Introduction to Mathematical Finance with Applications

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Attention for Chapter 4: Capital Market Theory and Portfolio Risk Measures
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Chapter title
Capital Market Theory and Portfolio Risk Measures
Chapter number 4
Book title
An Introduction to Mathematical Finance with Applications
Published by
Springer New York, June 2016
DOI 10.1007/978-1-4939-3783-7_4
Book ISBNs
978-1-4939-3781-3, 978-1-4939-3783-7
Authors

Arlie O. Petters, Xiaoying Dong

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