Active portfolio management : a quantitative approach for producing superior returns and controlling risk
Year of publication: |
2000 ; 2. ed.
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Authors: | Grinold, Richard C. ; Kahn, Ronald N. |
Publisher: |
New York, NY [u.a.] : McGraw-Hill |
Subject: | Portfoliomanagement |
Description of contents: | Table of Contents [digitool.hbz-nrw.de] |
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Rothe, Sebastian, (2011)
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Busch, Ramona, (2011)
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Wahrenberger, Mathias, (2012)
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Active portfolio management : quantitative theory and applications
Grinold, Richard C., (1995)
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Grinold, Richard C., (2000)
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Grinold, Richard C., (1996)
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