Quantitative Portfolio Optimisation Asset Allocation and Risk Management

Quantitative Portfolio Optimisation Asset Allocation and Risk Management
Quantitative Portfolio Optimisation Asset Allocation and Risk Management Login for the JSON version of this page.
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Title
Quantitative Portfolio Optimisation Asset Allocation and Risk Management
ISBN-10
0-230-51285-2
ISBN-13
978-0-230-51285-6
Author(s)
M. Rasmussen
Publisher
Palgrave Macmillan Limited
Published
2002
Format
Subtitle
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Series
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Imprint
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Pages
350
Language
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Subjects
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Genre
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Description

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Metadata
EAN
9780230512856
ASIN
0230512852
Prefix
978
Group
0
Group Name
English language
Group Identifier
978-0
Registrant
230
Publication
51285
Check Digit
6
Formatted
978-0-230-51285-6

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