Dynamic portfolio theory and management : using active asset allocation to improve profits and reduce risk / Richard E. Oberuc
By: Oberuc, Richard E.
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Current location | Call number | Status | Date due | Barcode |
---|---|---|---|---|
Main Campus Book Shelves | HG4529.5 O237D (Browse shelf) | Available | 200502010059 |
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HG4529.5 M623 2003 Modern portfolio theory and investment analysis / | HG4529.5 M623 2003 Modern portfolio theory and investment analysis / | HG4529.5 M623 2007 Modern portfolio theory and investment analysis / | HG4529.5 O237D Dynamic portfolio theory and management : | HG4529.5 P427R Risk budgeting : | HG4529.5 P673T Taxation and household portfolio composition : U.S. evidence from the 1980's and 1990's | HG4529.5 R323A Advanced stochastic models, risk assessment, and portfolio optimization : |
Includes bibliographical references and index
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