Portfolio theory : with application to bank asset management / Giorgio P. Szegö
(Economic theory, econometrics, and mathematical economics)
Publisher | (New York : Academic Press) |
---|---|
Year | 1980 |
Authors | *Szegö, G. P |
Hide book details.
Links to the text | Location | Volume | Call No. | Barcode No. | Status | Comments | ISBN | Printed | Restriction | Reserve |
---|---|---|---|---|---|---|---|---|---|---|
Links to the text | Library Off-campus access |
|
OB00177981 | ScienceDirect (電子ブック) | 9781483273525 |
|
|
Hide details.
Material Type | E-Book |
---|---|
Media type | 機械可読データファイル |
Size | 1 online resource (xiv, 215 pages) |
Notes | Includes bibliographical references (pages 207-210) and index Print version record Elsevier ScienceDirect All Books HTTP:URL=https://www.sciencedirect.com/science/book/9780126807806 |
Subjects | LCSH:Bank investments -- Mathematical models
All Subject Search
LCSH:Bank management -- Mathematical models All Subject Search CSHF:Banques -- Investissements -- Modèles mathématiques All Subject Search CSHF:Banques -- Gestion -- Modèles mathématiques All Subject Search FREE:BUSINESS & ECONOMICS -- Finance All Subject Search FREE:Bank investments -- Mathematical models All Subject Search FREE:Bank management -- Mathematical models All Subject Search FREE:Portfolio Selection FREE:Portfolio-theorie FREE:Electronic books |
Classification | LCC:HG1616.I5 DC22:332.1/068/1 |
ID | 8000080086 |
ISBN | 9781483273525 |
Similar Items
Usage statistics of this contents
Number of accesses to this page:8times