PORTFOLIO MANAGEMENT UNDER STRESS A BAYE
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TextLanguage: English Publication details: 2013 United Kingdom Cambridge University PressDescription: xxvi, : 491 : p. : cm. ; 25DDC classification: - 332.601 REB
| Cover image | Item type | Current library | Home library | Collection | Shelving location | Call number | Materials specified | Vol info | URL | Copy number | Status | Notes | Date due | Barcode | Item holds | Item hold queue priority | Course reserves | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Books | IMTN Rack 10-A | 332.601 REB (Browse shelf(Opens below)) | 100.9 | Available | 27452 |
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| 332.601 DEF QUANTITATIVE INVESTMENT ANALYSIS WORKBOO | 332.601 FOR BEHAVIOURAL FINANCE | 332.601 JUR RISK BASED AND FACTOR INVESTING | 332.601 REB PORTFOLIO MANAGEMENT UNDER STRESS A BAYE | 332.6019 BAK Advanced Introduction To Behavioral Finance | 332.6019 KOP INVESTING AND IRRATIONAL MIND | 332.6019 KOP INVESTING AND IRRATIONAL MIND |
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