Portfolio analytics An introduction to return and risk measurement
Marty Wolfgang
Portfolio analytics An introduction to return and risk measurement - 2nd - Cham Springer 2015 - xiv;204p. cm.
5133.7700000000004
128253
148, 31/12/2015, Excel Book International Textual
Financial Studies
X65:8, Q5
Portfolio analytics An introduction to return and risk measurement - 2nd - Cham Springer 2015 - xiv;204p. cm.
5133.7700000000004
128253
148, 31/12/2015, Excel Book International Textual
Financial Studies
X65:8, Q5
