Optimization Methods in Finance 2nd Edition
Discover the essential guide to financial optimization with the ‘Optimization Methods in Finance 2nd Edition’ by Gérard Cornuéjols, Javier Peña, and Reha Tütüncü. This updated edition offers a comprehensive insight into the mathematical techniques that drive effective financial decision-making. Readers will benefit from a clear blend of theory and practical applications, complete with real-world examples and case studies that illuminate complex concepts. The book covers a range of topics, including portfolio optimization, risk management, and asset allocation, making it an invaluable resource for finance professionals and academics alike. Elevate your understanding of finance with this authoritative text from Cambridge University Press.
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