SPAN (Standard Portfolio Analysis of Risk)

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SPAN (Standard Portfolio Analysis of Risk)

by wanderer » 24.09.2013{, 16:08}

SPAN (Standard Portfolio Analysis of Risk)система анализа портфельных рисков по фьючерсным и опционным инструментам.
Впервые была разработана на Чикагской товарной бирже (CME) в 1988 году.

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