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|a Grinold, Richard C
|9 21405
|e συγγραφέας.
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245 |
1 |
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|a Active portfolio management :
|b a quantitative approach for providing superior returns and controlling risk /
|c Richard C. Grinold [and] Ronald N. Kahn.
|
250 |
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|a 2nd ed.
|
260 |
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|a New York :
|b McGraw-Hill,
|c c2000.
|
300 |
|
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|a xiii, 596 σ. :
|b εικ., πιν. ;
|c 24 εκ.
|
650 |
|
4 |
|a Διαχείριση χαρτοφυλακίου
|x Μαθηματικά μοντέλα
|9 90337
|
700 |
1 |
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|a Kahn, Ronald N.
|9 21407
|e συγγραφέας.
|
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|c ΒΕΛΛΙΟΥ
|d 2022-01
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