Portfolio Theory: With Application to Bank Asset Management (ECONOMIC THEORY, ECONOMETRICS, AND MATHEMATICAL ECONOMICS)

Author(s)

Giorgio P. Szegö. Includes Index. Bibliography: P. 207-210.

Keywords
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Name in long format: Portfolio Theory: With Application to Bank Asset Management (ECONOMIC THEORY, ECONOMETRICS, AND MATHEMATICAL ECONOMICS)
ISBN-10: 0126807809
ISBN-13: 9780126807806
Book pages: 215
Book language: en
Edition: 1
Binding: Kindle Edition
Publisher: Academic Press
Dimensions: xiv, 215 p. ; 24 cm.

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