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1.
Fat tailed and skewed asset return distribution by Series:
Edition:
Material type: Text Text
Publication details: John wiley 2005
Availability: Items available for loan: Kozhikode (1)Call number: 336.767 RAC.

2.
Optimal portfolio modeling (With CD-ROM) by Series: Wiley Trading
Edition:
Material type: Text Text
Publication details: New Jersey John Wiley & Sons 2008
Availability: Not available: Kozhikode: Checked out (1).

3.
Risk and asset allocation by Series:
Edition:
Material type: Text Text
Publication details: New York Springer 2009
Availability: Items available for loan: Kozhikode (1)Call number: 336.764 MEU;1.

4.
Active credit portfolio management in practice by Series: Wiley finance
Edition:
Material type: Text Text
Publication details: Hoboken Wiley 2009
Availability: Items available for loan: Kozhikode (1)Call number: 336.77 BOH/A.

5.
6.
Risk budgeting a new approach to investing edited by Leslie Rahl by
Publication details: London Risk Books 2003
Availability: Items available for loan: Lucknow (1).

7.
An Introduction to market risk measurement by
Publication details: England J Wiley 2002
Availability: Items available for loan: Lucknow (1).

8.
Portfolio construction and risk budgeting by
Edition: 3rd ed
Publication details: London Risk Books 2007
Availability: Items available for loan: Lucknow (1).

9.
Active credit portfolio management in practice Jeffrey R Bohn and Roger M Stein by
Publication details: New Jersey John Wiley 2009
Availability: Items available for loan: Lucknow (1).

10.
Portfolio risk analysis Gregory Connor, Lisa R Goldberg and Robert A Korajczyk by
Publication details: Princeton Princeton University 2010
Availability: Items available for loan: Lucknow (1).

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