
by Bertrand Jacquillat, Bruno Solnik · Bordas Editions · tapa blanda · ISBN 9782040198176

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This fundamental work, written by experts Bertrand Jacquillat and Bruno Solnik, offers a comprehensive analysis of financial markets, portfolio management, and risk assessment. It is an essential reference text for students and professionals in the financial sector seeking to deepen their understanding of investment strategies and modern financial theory. The book covers key concepts such as diversification, asset valuation, and risk management, providing a solid theoretical foundation complemented by practical applications.
