
| Judul | Active Portfolio Management: A Quantitative Approach For Producing Superior Returns and Controlling Risk. Richard C Kahn Grinold |
| Pengarang | Grinold,Richard C. Kahn,Ronald N. |
| Penerbitan | s.l. : McGraw-Hill, 2000 |
| Deskripsi Fisik | xv,596p.:bibl.:illus.:ind24 cm |
| ISBN | 0-07-024882-6 |
| Subjek | Portfolio Management-Mathemati |
| Bahasa | Inggris |
| Target Pembaca | Tidak diketahui / tidak ditentukan |
| No Barcode | No. Panggil | Akses | Lokasi | Ketersediaan |
|---|---|---|---|---|
| 0405100057 | 332.601 51 Gri a 1 | Dapat dipinjam | Ruang Baca Fakultas Ekonomi dan Bisnis - RBU FEB Koleksi Umum |
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