HIGHLIGHTS
- who: Roy Cerqueti from the Sapienza University of Rome, Rome, Italy have published the paper: Preface: recent developments in financial modelling and risk management, in the Journal: (JOURNAL)
SUMMARY
In the last decade, a wide range of innovative financial instruments has taken by storm the financial markets. An update of portfolio selections methods, an adequate tool for risk measurement and a selection of efficient risk management strategies are all top priorities. Most scholars in the field have been studying and modelling the dynamics of new investment and financing instruments and have provided interesting . . .
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