Active portfolio management a quantitative approach for providing superior returns and controllong risk

Saved in:
Bibliographic Details
Main Author: Grinold, Richard C.
Other Authors: Kahn, Ronald N.
Format: Unknown
Published: New York McGraw Hill 2000
Edition:2nd ed
Subjects:
Online Access:Click Here to View Status and Holdings.
Tags: Add Tag
No Tags, Be the first to tag this record!

MARC

LEADER 00000n a2200000 a 4501
001 wils-213647
020 # # |a 0070248826 
090 0 0 |a HG4529.5  |b .G75 2000 
100 1 # |a Grinold, Richard C. 
245 1 1 |a Active portfolio management  |b a quantitative approach for providing superior returns and controllong risk  |c Richard C. Grinold, Ronald N. Kahn 
250 # # |a 2nd ed 
260 # # |a New York  |b McGraw Hill  |c 2000 
504 # # |a Includes bibliographical references and index 
650 # 0 |a Portfolio managment  |x Mathematical models 
700 1 # |a Kahn, Ronald N. 
856 4 0 |z Click Here to View Status and Holdings.  |u https://opac.uitm.edu.my/opac/detailsPage/detailsHome.jsp?tid=213647 
964 # # |c BOK  |d 01 
040 # # |a Shah Alam 
998 # # |a 00250##a002.7.6||00260##a002.7.6||00260##b002.7.6||00260##c002.7.6||