| 000 | 01333cam a22003014a 4500 | ||
|---|---|---|---|
| 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 |
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| 050 |
_a332.6 _bGRI |
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| 082 |
_a332.6 _bGRI [ Shelf 5 ] |
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| 100 | _aGrinold, Richard C. | ||
| 245 |
_aActive portfolio management : _ba quantitative approach for providing superior returns and controlling risk / _cRichard C. Grinold, Ronald N. Kahn. |
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| 250 | _a2nd ed. | ||
| 260 |
_aNew York : _bMcGraw-Hill, _cc2000. |
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| 300 |
_axv, 596 p. : _bill. ; _c24 cm. |
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| 440 | _a[Irwin library of investment & finance] | ||
| 504 | _aIncludes bibliographical references and index. | ||
| 650 |
_aPortfolio management _x Mathematical models. |
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| 700 | _aKahn, Ronald N. | ||
| 856 |
_Contributor biographical information _u http://www.loc.gov/catdir/bios/mh041/99021967.html |
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| 856 |
_Publisher description _u http://www.loc.gov/catdir/description/mh023/99021967.html |
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| 856 |
_Table of contents _u http://www.loc.gov/catdir/toc/mh023/99021967.html |
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| 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 |
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