000 | 00784nam a2200205Ia 4500 | ||
---|---|---|---|
999 |
_c11842 _d11842 |
||
020 | _a9780071376952 | ||
020 | _a9790070587686 | ||
082 | _a658.152 GRI-A R | ||
100 | _aRichard C. Grinold | ||
100 | _aRonald N. Kahn | ||
245 | _aActive Portfolio Management: A Quantitative Approach for Producing Superior Returns and Selecting Superior Returns and Controlling Risk | ||
250 | _a1st ed. in 2000, 2nd ed. in 2004 | ||
260 |
_c2004 _aNew Delhi _bTata McGraw-Hill Education |
||
300 | _axv, 597p; 5cm | ||
650 | _aManagement | ||
650 | _aPortfolio Management | ||
650 | _aActive Portfolio Management | ||
650 | _aActive Portfolio Management: A Quantitative Approach for Producing Superior Returns and Selecting Superior Returns and Controlling Risk | ||
942 | _cREF |