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Hardcover Contemporary Portfolio Theory and Risk Management : Book

ISBN: 0314028226

ISBN13: 9780314028228

Contemporary Portfolio Theory and Risk Management :

This upper level text offers a contemporary, streamlined introduction to portfolio theory and risk management. Includes coverage of assets pricing, the efficient markets hypothesis, term structure of... This description may be from another edition of this product.

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Format: Hardcover

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We receive 1 copy every 6 months.

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Customer Reviews

1 rating

A must have for quants and risk analysts

An outstanding book on portfolio theory and management. Covers all relevant topics with breadth and depth. Can be used as a single text for teaching. Complete in it's content. Useful for the novice and the professional. There should be a paperback version for students.
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