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Portfolio Optimization: Theory and Application
This comprehensive guide to the world of financial data modeling and portfolio design is a must-read for anyone looking to understand and apply portfolio optimization in a practical context.
Portfolio Optimization: Theory and Application
Item #: 219469264

Portfolio Optimization: Theory and Application

Item #: 219469264

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    This comprehensive guide to the world of financial data modeling and portfolio design is a must-read for anyone looking to understand and apply portfolio optimization in a practical context.
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    What Stands Out

    Comprehensive Theory
    Delves deep into portfolio optimization theory, providing readers with a strong foundation in financial principles, making it suitable for both academic and practical applications.
    Real-World Applications
    Bridges the gap between theory and practice, with case studies and real-life scenarios that illustrate effective portfolio management strategies in various market conditions.
    Expert Insights
    Offers contributions from industry experts and academics, ensuring that readers receive the latest and most relevant insights into portfolio optimization techniques and best practices.

    Product Details

    Shop Portfolio Optimization: Theory and Application online at a best price in UAE. 100942808X
    • This comprehensive guide to the world of financial data modeling and portfolio design is a must-read for anyone looking to understand and apply portfolio optimization in a practical context. It bridges the gap between mathematical formulations and the design of practical numerical algorithms. It explores a range of methods, from basic time series models to cutting-edge financial graph estimation approaches. The portfolio formulations span from Markowitz's original 1952 mean–variance portfolio to more advanced formulations, including downside risk portfolios, drawdown portfolios, risk parity portfolios, robust portfolios, bootstrapped portfolios, index tracking, pairs trading, and deep-learning portfolios. Enriched with a remarkable collection of numerical experiments and more than 200 figures, this is a valuable resource for researchers and finance industry practitioners. With slides, R and Python code examples, and exercise solutions available online, it serves as a textbook for portfolio optimization and financial data modeling courses, at advanced undergraduate and graduate level.
    Publisher Cambridge University Press
    Publication date June 12, 2025
    Language English
    Print length 608 pages
    ISBN-10 100942808X
    ISBN-13 978-1009428088
    Item Weight 2.95 pounds (1.34 kg)
    Dimensions 7 x 1.31 x 10 inches (17.8 x 3.3 x 25.4 cm)

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