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More by Svetlozar T. Rachev
The Basics of Financial Econometrics: Tools, Concepts, and Asset Management Applications
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Quantitative Equity Investing: Techniques and Strategies
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Mathematical Methods for Finance: Tools for Asset and Risk Management
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Financial Modeling of the Equity Market: From CAPM to Cointegration
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Fat-Tailed and Skewed Asset Return Distributions: Implications for Risk Management, Portfolio Selection, and Option Pricing
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Equity Valuation: Science, Art, or Craft?
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A Probability Metrics Approach to Financial Risk Measures
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Robust Portfolio Optimization and Management
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Bayesian Methods in Finance
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Financial Models with Levy Processes and Volatility Clustering
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Fixed Income Mathematics, Fifth Edition: Analytical and Statistical Techniques: Edition 5
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Analysis of Financial Statements: Edition 3
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Foundations and Applications of the Time Value of Money
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Introduction to Fixed Income Analytics: Relative Value Analysis, Risk Measures and Valuation, Edition 2
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Investment Management:A Science to Teach Or an Art to Learn?
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Financial Risk Management
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Introduction to Fixed-Income Analysis and Portfolio Management
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Entrepreneurial Finance and Accounting for High-Tech Companies
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Robust Equity Portfolio Management: Formulations, Implementations, and Properties using MATLAB
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Robust Equity Portfolio Management: Formulations, Implementations, and Properties using MATLAB
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