An edition of Portfolio theory (1980)

Portfolio theory

with application to bank asset management

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Last edited by MARC Bot
October 17, 2020 | History
An edition of Portfolio theory (1980)

Portfolio theory

with application to bank asset management

  • 0 Ratings
  • 1 Want to read
  • 0 Currently reading
  • 0 Have read

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Publish Date
Publisher
Academic Press
Language
English
Pages
215

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Previews available in: English

Edition Availability
Cover of: Portfolio theory
Portfolio theory: with application to bank asset management
1980, Academic Press
in English

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Book Details


Edition Notes

Bibliography: p. 207-210.
Includes index.

Published in
New York
Series
Economic theory, econometrics, and mathematical economics

Classifications

Dewey Decimal Class
332.1/068/1
Library of Congress
HG1616.I5 S95

The Physical Object

Pagination
xiv, 215 p. ;
Number of pages
215

ID Numbers

Open Library
OL4405822M
Internet Archive
portfoliotheoryw0000szeg
ISBN 10
0126807809
LCCN
79008854
OCLC/WorldCat
5941134
Goodreads
5669721

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History

Download catalog record: RDF / JSON
October 17, 2020 Edited by MARC Bot import existing book
January 5, 2020 Edited by ImportBot import existing book
December 5, 2010 Edited by Open Library Bot Added subjects from MARC records.
December 10, 2009 Created by WorkBot add works page