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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

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OB00177981 ScienceDirect (電子ブック) 9781483273525

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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

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