Global portfolio diversification. Risk management, market microstructure, and implementation issues /
Uložené v:
| Hlavný autor: | |
|---|---|
| Ďalší autori: | |
| Médium: | Kniha |
| Jazyk: | English |
| Vydavateľské údaje: |
San Diego :
Academic Press,
1995
|
| Vydanie: | [1st ed.] |
| Predmet: | |
| ISBN: | 012044500X |
| On-line prístup: |
|
| Tagy: |
Pridať tag
Žiadne tagy, Buďte prvý, kto otaguje tento záznam!
|
MARC
| LEADER | 00000nam a2200000 4500 | ||
|---|---|---|---|
| 003 | SK-BrCVT | ||
| 005 | 20220617192603.0 | ||
| 008 | 950801s1995 xxu e ||||||eng d | ||
| 020 | |a 012044500X | ||
| 035 | |a CVTIDW0933101 | ||
| 040 | |b slo |a CVTI SR | ||
| 041 | 0 | |a eng | |
| 044 | |a xxu | ||
| 080 | |a 336.7 |2 UDC-MRF | ||
| 080 | |a 65.012.4 |2 UDC-MRF | ||
| 100 | 1 | |a Aggarwal, Raj | |
| 242 | 1 | 0 | |a Globálne rozdelenie portfólia. Manažment rizika, mikroštruktúra trhu a realizačné problémy |
| 245 | 1 | 0 | |a Global portfolio diversification. Risk management, market microstructure, and implementation issues / |c Authors: Raj Aggarwal, David C. Schirm and Co. |
| 250 | |a [1st ed.] | ||
| 260 | |a San Diego : |b Academic Press, |c 1995 | ||
| 300 | |a XVI, 302 s. : |b grafy, obr., tab. ; | ||
| 653 | 1 | |a medzinárodné finančníctvo |a burza |a devízový kurz | |
| 692 | |a GM VD PR JM MM | ||
| 700 | 1 | |a Schirm, David C. | |
| 910 | |b A548151 | ||
| 919 | |a 0-12-044500-X | ||
| 974 | |f Knihy | ||
| 992 | |a AZN | ||
| 999 | |c 95436 |d 95436 | ||

