Global portfolio diversification : risk management, market microstructure, and implementation issues / edited by Raj Aggarwal, David C. Schirm
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| | | Global portfolio diversification : risk management, market microstructure, and implementation issues. - San Diego , 1995. |
| xvi, 302 p. : ill. ; 24 cm. | Papers based on a conference on global portfolio diversification (GPD), held at John Carroll University in Cleveland, Ohio. | ISBN 012044500X. | | 1. Portfolio management 2. International finance 3. Risk management.I. Aggarwal, Raj II. Schirm, David C III. Conference on Global Portfolio Diversification. IV. Title |
| Accn No. | Item Status | Add Id | Location | SMD | Item Category | 382780 | Withdrawn | | PERPUSTAKAAN UNDANG-UNDANG TAR(PUU) | BOOK | ret | 437959 | Shelf | | PERPUSTAKAAN UNDANG-UNDANG TAR(PUU) | BOOK | ret |
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