Book Cover

Quantitative Methods for Portfolio Analysis: MTV Model Approach

Contributor(s): Kariya, Takeaki (Author), Kariya, T (Author)

ISBN: 9780792322542

Publisher: Kluwer Academic Publishers

Hardcover
$99.00
- +
Buy

Pub Date: May 31, 1993

Dewey: 332.60151

LCCN: 93007416

Lexile Code: 0000

Features: Illustrated

Target Age Group: NA to NA

Physical Info: 0.75" H x 9.21" L x 6.14" W ( 1.39 lbs) 324 pages

Series: NATO Asi Series. Series C, Mathematical and Physical Science

Descriptions, Reviews, etc.

Description: Preface. Part I: Quantitative Models for Portfolio Analysis. 1. Quantitative Approach to Asset Allocation. 2. Empirical Features of Financial Returns. 3. Univariate Financial Time Series Models. 4. Multivariate Financial Time Series Models. 5. MTV Model and its Applications. Part II: Quantitative Asset Allocation Systems. 6. Quantitative Portfolio Construction Procedures. 7. Multifactor Models and their Applications. 8. B. Rosenberg Models and their Applications. 9. Selection of Portfolio Population. 10. Optimal MTV Market Portfolio. 11. Index Portfolio and Canonical Correlation Portfolio. Part II: Statistical Approach to Option Pricing and Bond Pricing. 12. Black-Scholes Option Theory and its Applications. 13. Practical Option Pricing and Related Topics. 14. Statistical Bond Pricing Models. Appendix. References. Index.

Product successfully added to cart!