Essec\Faculty\Model\Contribution {#2233 ▼
#_index: "academ_contributions"
#_id: "3003"
#_source: array:26 [
"id" => "3003"
"slug" => "3003-finance-de-marche"
"yearMonth" => "2008-09"
"year" => "2008"
"title" => "Finance de marché"
"description" => "PORTAIT, R. et PONCET, P. (2008). <i>Finance de marché</i>. Dalloz, 1089 pages."
"authors" => array:2 [
0 => array:3 [
"name" => "PONCET Patrice"
"bid" => "B00000430"
"slug" => "poncet-patrice"
]
1 => array:1 [
"name" => "PORTAIT Roland"
]
]
"ouvrage" => ""
"keywords" => array:4 [
0 => "Gestion de portefeuille"
1 => "Gestion des risques"
2 => "Instruments financiers"
3 => "Risk Management"
]
"updatedAt" => "2021-09-06 14:06:32"
"publicationUrl" => null
"publicationInfo" => array:3 [
"pages" => null
"volume" => null
"number" => null
]
"type" => array:2 [
"fr" => "Livres"
"en" => "Books"
]
"support_type" => array:2 [
"fr" => "Editeur"
"en" => "Publisher"
]
"countries" => array:2 [
"fr" => null
"en" => null
]
"abstract" => array:2 [
"fr" => "Cet ouvrage, unique en son genre, présente tous les actifs primitifs, tous les dérivés, la gestion de portefeuille, les mesures et la gestion du risque.
Cet ouvrage, unique en son genre, présente tous les actifs primitifs, tous les dérivés, la gestion d
"
"en" => "This unique textbook offers an extensive analysis of primitive assets, derivatives, portfolio, theory and mangement, and risk measures and management.
This unique textbook offers an extensive analysis of primitive assets, derivatives, portfolio, theor
"
]
"authors_fields" => array:2 [
"fr" => "Finance"
"en" => "Finance"
]
"indexedAt" => "2025-03-15T05:21:41.000Z"
"docTitle" => "Finance de marché"
"docSurtitle" => "Livres"
"authorNames" => "<a href="/cv/poncet-patrice">PONCET Patrice</a>, PORTAIT Roland"
"docDescription" => "<span class="document-property-authors">PONCET Patrice, PORTAIT Roland</span><br><span class="document-property-authors_fields">Finance</span> | <span class="document-property-year">2008</span>
<span class="document-property-authors">PONCET Patrice, PORTAIT Roland</span><br><span class="docume
"
"keywordList" => "<a href="#">Gestion de portefeuille</a>, <a href="#">Gestion des risques</a>, <a href="#">Instruments financiers</a>, <a href="#">Risk Management</a>
<a href="#">Gestion de portefeuille</a>, <a href="#">Gestion des risques</a>, <a href="#">Instrument
"
"docPreview" => "<b>Finance de marché</b><br><span>2008-09 | Livres </span>"
"docType" => "research"
"publicationLink" => "<a href="#" target="_blank">Finance de marché</a>"
]
+lang: "fr"
+"_type": "_doc"
+"_score": 9.077189
+"parent": null
}