{"product_id":"9781137544636","title":"Postmodern Portfolio Theory : Navigating Abnormal Markets and Investor Behavior (Quantitative Perspectives on Behavioral Economics and Finance)","description":"\u003cp\u003eThis survey of portfolio theory, from its modern origins through more sophisticated, \"postmodern\" incarnations, evaluates portfolio risk according to the first four moments of any statistical distribution: mean, variance, skewness, and excess kurtosis.\u003c\/p\u003e","brand":"Palgrave Macmillan","offers":[{"title":"Default Title","offer_id":52315230404919,"sku":"00000_00000_00000_00000","price":758.46,"currency_code":"MYR","in_stock":true}],"thumbnail_url":"\/\/cdn.shopify.com\/s\/files\/1\/0962\/3548\/7543\/files\/9781137544636-1.jpg?v=1783153281","url":"https:\/\/kinokuniya.com.my\/products\/9781137544636","provider":"Books Kinokuniya Malaysia","version":"1.0","type":"link"}