Network Models in Finance, Expanding the Tools for Portfolio and Risk Management, Wiley, Frank J. Fabozzi, Gueorgui S. Konstantinov,Neural networks and fuzzy systems,Artificial intelligence (AI), graph theory; portfolio management; network construction, quantitative finance, quantitative models, asset allocation, factor investing, risk management; asset classes; networks investment management; systemic risk; counterparty risk,, Frank J. Fabozzi Series, United States, en-UShttps://www.wiley.comgraph theory; portfolio management; network construction, quantitative finance, quantitative models, asset allocation, factor investing, risk management; asset classes; networks investment management; systemic risk; counterparty risk, [BLURB],[CITY],,books, ebooks, biblet, Book2look