Active portfolio management A quantitative approach for provding superior returns and controlling risk.
Grinold Richard C
Active portfolio management A quantitative approach for provding superior returns and controlling risk. - 2 - New Delhi Tata McGraw-Hill Publishing 2000 - xiii,596p cm.
450
103331
471, 08/12/2009, Pioneer Book Distributors Textual
Financial Studies
X65:8, P0
Active portfolio management A quantitative approach for provding superior returns and controlling risk. - 2 - New Delhi Tata McGraw-Hill Publishing 2000 - xiii,596p cm.
450
103331
471, 08/12/2009, Pioneer Book Distributors Textual
Financial Studies
X65:8, P0
