A reprint of one of the classic volumes on portfolio theory and investment, this book has been used by the leading professors at universities such as Stanford, Berkeley, and Carnegie-Mellon. It contains five parts, each with a review of the literature and about 150 pages of computational and review exercises and further in-depth, challenging problems.Frequently referenced and highly usable, the material remains as fresh and relevant for a portfolio theory course as ever.
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Bahasa Inggeris ● Format PDF ● Halaman-halaman 756 ● ISBN 9789814478076 ● Penyunting Vickson Raymond G Vickson & Ziemba William T Ziemba ● Penerbit World Scientific Publishing Company ● Diterbitkan 2006 ● Muat turun 3 kali ● Mata wang EUR ● ID 8097377 ● Salin perlindungan Adobe DRM
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