000 01030nam a2200337Ia 4500
003 OSt
005 20220912144643.0
006 a|||||r|||| 00| 0
007 ta
008 220909b |||||||| |||| 00| 0 eng d
020 _a9783319198125 (hbk)
020 _aSL01600377
024 _a195682
037 _b143, 01/03/2016, Aviva Books Company
037 _cTextual
040 _aCSL
_beng
_cCSL
041 _aeng
082 _aB2T0bX:65, Q5
100 _aMarty Wolfgang
245 0 _aPortfolio analytics: an introduction to return and risk measurement
250 _a2
260 _aNew York
_bSpringer
_c2015
300 _axiv, 204p. ill.
500 _aReferences 199-200p.; About the author 201-202p.; Index 203-204p.
650 _a Performance measurement
650 _a Risk measurement
650 _aInvestment controlling
700 _aMarty Wolfgang
942 _hB2T0bX:65, Q5
_cTEXL
_2CC
999 _c14786
_d14786