Estimation risk and optimal portfolio choice / by Vijay S. Bawa et.al
Material type: TextLanguage: English Publication details: Amsterdam: North Holland Publishing Co, 1979. Description: 190pISBN: 0444853448DDC classification: 332.67Item type | Current library | Call number | Status | Date due | Barcode |
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Books | PROF. BHUBANESWAR BEHERA CENTRAL LIBRARY Reference | 332.67 BAW/E (Browse shelf(Opens below)) | Available | 53959 |
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332.645 HUL/O Options, futures, and other derivatives | 332.645 KWO/M Mathematical models of financial derivatives | 332.6457 BOM/U Understanding credit derivatives and related instruments | 332.67 BAW/E Estimation risk and optimal portfolio choice | 332.673 BAN/F Foreign investment and Indian economy | 332.673 BAN/F Foreign investment and Indian economy | 332.673 CHA/F Foreign direct investment in a changing global political economy |
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