A mathematical approach to financial allocation strategies

dc.contributor.advisorVan Vuuren, J. H.en_ZA
dc.contributor.authorWagenaar, Elmienen_ZA
dc.contributor.otherStellenbosch University. Faculty of Science. Dept. of Mathematical Sciences.en_ZA
dc.date.accessioned2012-08-27T11:35:05Z
dc.date.available2012-08-27T11:35:05Z
dc.date.issued2002-12
dc.descriptionThesis (MSc)--University of Stellenbosch, 2002.en_ZA
dc.description.abstractSee article for abstracten_ZA
dc.format.extent180 p. : ill.
dc.identifier.urihttp://hdl.handle.net/10019.1/52648
dc.language.isoen_ZA
dc.publisherStellenbosch : Stellenbosch Universityen_ZA
dc.rights.holderStellenbosch Universityen_ZA
dc.subjectPortfolio management -- Mathematical modelsen_ZA
dc.subjectRisk management -- Mathematical modelsen_ZA
dc.subjectAsset allocation -- South Africaen_ZA
dc.subjectInvestments -- South Africaen_ZA
dc.subjectRate of return -- South Africaen_ZA
dc.subjectInvestments -- Mathematical modelsen_ZA
dc.subjectDissertations -- Applied mathematicsen_ZA
dc.subjectTheses -- Applied mathematicsen_ZA
dc.subjectDissertations -- Mathematical sciencesen_ZA
dc.subjectTheses -- Mathematical sciencesen_ZA
dc.titleA mathematical approach to financial allocation strategiesen_ZA
dc.typeThesisen_ZA
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