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عنوان
Quantitative portfolio optimisation, asset allocation and risk management
پدید آورنده
Rasmussen, Mikkel
موضوع
، Portfolio management,، Asset allocation,، Risk management
رده
HG
4529
.
5
.
R37
2003
کتابخانه
Central Library of Sharif University of Technology
محل استقرار
استان:
Tehran
ـ شهر:
Tehran
تماس با کتابخانه :
66005817
-
021
OTHER STANDARD IDENTIFIER
Standard Number
137351
LANGUAGE OF THE ITEM
.Language of Text, Soundtrack etc
تابستان۳۸
.Language of Text, Soundtrack etc
English
TITLE AND STATEMENT OF RESPONSIBILITY
General Material Designation
)10(
First Statement of Responsibility
Rasmussen, Mikkel
Title Proper
Quantitative portfolio optimisation, asset allocation and risk management
.PUBLICATION, DISTRIBUTION, ETC
Place of Publication, Distribution, etc.
Houndmills
Name of Publisher, Distributor, etc.
Palgrave
Date of Publication, Distribution, etc.
2003
PHYSICAL DESCRIPTION
Specific Material Designation and Extent of Item
xv, 444 p.: ill.; 24 cm
SERIES
Series Title
Finance and capital markets series
GENERAL NOTES
Text of Note
Includes bibliographical references and index
TOPICAL NAME USED AS SUBJECT
Entry Element
، Portfolio management
Entry Element
، Asset allocation
Entry Element
، Risk management
LIBRARY OF CONGRESS CLASSIFICATION
Class number
HG
4529
.
5
.
R37
2003
PERSONAL NAME - PRIMARY RESPONSIBILITY
Relator Code
AU
Entry Element
Mikkel Rasmussen
TI
SE
LOCATION AND CALL NUMBER
Shelving Form of Title, Author, Author/Title
01
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