Quantitative Methods for Portfolio Analysis : MTV Model Approach /
Wedi'i Gadw mewn:
| Prif Awdur: | |
|---|---|
| Fformat: | Llyfr |
| Iaith: | Saesneg |
| Cyhoeddwyd: |
Dordrecht, Holanda :
Springer,
1993, c1993
|
| Cyfres: | (Theory and Decision Library. Series B. Mathematical and Statistical Methods)
|
| Pynciau: | |
| Tagiau: |
Dim Tagiau, Byddwch y cyntaf i dagio'r cofnod hwn!
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MARC
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|---|---|---|---|
| 001 | 000376736 | ||
| 005 | 20250521000000.0 | ||
| 009 | 20260310120334.558 | ||
| 020 | |a 978-94-010-4754-8 | ||
| 037 | |a Acervo ITESO - Biblioteca | ||
| 041 | |a ING | ||
| 082 | |a 336. 20151 |b KAR | ||
| 100 | |a Kariya, Takeaki |e (autor) | ||
| 245 | 1 | 0 | |a Quantitative Methods for Portfolio Analysis : |b MTV Model Approach / |c T. Kariya. |
| 264 | 4 | |a Dordrecht, Holanda : |b Springer, |c 1993, c1993 | |
| 300 | |a X, 308 p. | ||
| 336 | |a texto |b txt |2 rdacontenido | ||
| 337 | |a sin mediación |b n |2 rdamedio | ||
| 338 | |a volumen |b nc |2 rdasoporte | ||
| 440 | 1 | |a (Theory and Decision Library. |p Series B. |p Mathematical and Statistical Methods) | |
| 649 | |a XX | ||
| 650 | |a Teoría de Portafolio - |x Tema Principal | ||
| 650 | |a Métodos de Simulación | ||
| 650 | |a Modelos Matemáticos | ||
| 650 | |a Administración de Inversiones | ||
| 650 | |a Inversiones - |x Modelos Matemáticos - |x Tema Principal | ||
| 650 | |a Inversiones - |x Análisis - |x Tema Principal | ||
| 650 | |a Finanzas | ||
| 650 | |a Economía Matemática | ||
| 910 | |a Fondo General | ||
| 920 | |a Impresos - Libros | ||
| 930 | |a Colección General | ||
| 905 | |a 101 | ||
| 901 | |a 0500270893 |b IT1 |c ACC |i C151382 |u 20250521 | ||
| 902 | |a https://opac.biblio.iteso.mx/vufind/Record/000376736 | ||