PORTFOLIO THEORY AND RISK MANAGEMENT
By: CAPINSKI, MACIEJ J.
Contributor(s): KOPP, EKKEHARD.
Material type: BookPublisher: NEW DELHI CAMBRIDGE UNIVERSITY PRESS 2014Description: 160.ISBN: 9780521177146.DDC classification: 332.6Item type | Current location | Collection | Call number | Status | Date due | Barcode |
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Books |
Delhi Technological University
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Reference | 332.6 CAP (Browse shelf) | Available | 141361 | |
Books |
Delhi Technological University
In case any user is not receiving email during issue and return of books or not getting alerts for return of books .Kindly contact library and update your email and mobile . |
332.6 CAP (Browse shelf) | Available | 141362 |
Browsing Delhi Technological University Shelves , Collection code: Reference Close shelf browser
332.6 BOD INVESTMENTS | 332.6 BOD INVESTMENTS | 332.6 BOD ESSENTIALS OF INVESTMENTS | 332.6 CAP PORTFOLIO THEORY AND RISK MANAGEMENT | 332.6 ELT MODERN PORTFOLIO THEORY AND INVESTMENT ANALYSIS | 332.6 FIS SECURITY ANALYSIS AND PORTFOLIO MANAGEMENT | 332.6 HAU MODERN INVESTMENT THEORY |
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