Active portfolio management a quantitative approach for providing superior returns and controlling risk

Grinold, Richard C Kahn, Ronald N

Active portfolio management a quantitative approach for providing superior returns and controlling risk - 2nd - New York McGraw-Hill 2000 - xv,596p. ill. ; 24 cm. - [Irwin library of investment & finance] .

Includes bibliographical references and index.

9780070248823

99021967


Portfolio management--Mathematical models.

HG4529.5 / .G75 2000

332.60151 / GR-A

O.P. Jindal Global University, Sonepat-Narela Road, Sonepat, Haryana (India) - 131001

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