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Managing Downside Risk in Financial Markets. Theory, Practice and Implementation
  • PDF
  • English
  • Year: 2001
  • Author: Frank A. Sortino and Stephen E. Satchell (Eds.)
Managing downside risk in financial markets
  • PDF
  • English
  • Year: 2001
  • Author: Frank A. Sortino, Stephen Satchell
Asset Management: Portfolio Construction, Performance and Returns
  • PDF
  • English
  • Year: 2016
  • Author: Stephen Satchell (eds.)
Performance Measurement in Finance. Firms, Funds and Managers
  • PDF
  • English
  • Year: 2002
  • Author: John Knight and Stephen Satchell (Eds.)
Forecasting Expected Returns in the Financial Markets
  • PDF
  • English
  • Year: 2007
  • Author: Stephen Satchell
Forecasting Expected Returns in the Financial Markets
  • PDF
  • English
  • Year: 2007
  • Author: Stephen Satchell
Market Momentum: Theory and Practice
  • PDF
  • English
  • Year: 2020
  • Author: Stephen Satchell, Andrew Grant