By Grinold, Richard C
Active portfolio management: a quantitative approach for providing superior returns and controlling risk - 1st - New Delhi Tata McGraw Hill 1999 - xv; 596p.
Portfolio managemen-mathematical models
332.60151 / GRI
Active portfolio management: a quantitative approach for providing superior returns and controlling risk - 1st - New Delhi Tata McGraw Hill 1999 - xv; 596p.
Portfolio managemen-mathematical models
332.60151 / GRI