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005 20260112063218.0
010 _a99-021967
020 _a9780070587687
035 _a3102945
039 _a202505231236
_bstaff
_c202111031203
_d staff
_c201207030119
_d staff
_c200907280302
_d staff
_y 200907230351
_z staff
050 _a332.6
_bGRI
082 _a332.6
_bGRI [ Shelf 5 ]
100 _aGrinold, Richard C.
245 _aActive portfolio management :
_ba quantitative approach for providing superior returns and controlling risk /
_cRichard C. Grinold, Ronald N. Kahn.
250 _a2nd ed.
260 _aNew York :
_bMcGraw-Hill,
_cc2000.
300 _axv, 596 p. :
_bill. ;
_c24 cm.
440 _a[Irwin library of investment & finance]
504 _aIncludes bibliographical references and index.
650 _aPortfolio management
_x Mathematical models.
700 _aKahn, Ronald N.
856 _Contributor biographical information
_u http://www.loc.gov/catdir/bios/mh041/99021967.html
856 _Publisher description
_u http://www.loc.gov/catdir/description/mh023/99021967.html
856 _Table of contents
_u http://www.loc.gov/catdir/toc/mh023/99021967.html
991 _aVIRTUA
991 _aVTLSSORT0080*0100*0200*0350*0500*0820*1000*2450*2500*2600*3000*4400*5040*6500*7000*8560*8561*8562*9992
909 _a45
999 _c39
_d39