Portfolio theory and risk management / Maciej J. Capiński, Ekkehard Kopp
(Mastering mathematical finance)
Publisher | Cambridge : Cambridge University Press |
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Year | 2014 |
Authors | *Capiński, Maciej J. Kopp, Ekkehard |
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Location | Volume | Call No. | Barcode No. | Status | Comments | ISBN | Printed | Restriction | Reserve |
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Chiyoda (Textbooks)(Financial Strategy) | : hbk | K3381:495 | 121050179Q |
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9781107003675 |
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Material Type | Books |
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Size | x, 160 p. : ill. ; 23-24 cm |
Notes | Includes index |
Subjects | LCSH:Portfolio management LCSH:Risk management LCSH:Investment analysis |
Classification | LCC:HG4529.5 DC23:332.6 |
Language | English |
ID | 1001142396 |
ISBN | 9781107003675 |
NCID | BB17609562 |
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