Managing Downside Risk in Financial Markets
By: Sortino,Frank A.
Contributor(s): Satchell ed.
Publisher: Boston Butterworth 2003ISBN: 0750648635.Subject(s): INVESTMENT ANALYSIS--STATISTICAL TECHNIQUES | RISK MANAGEMENT | CAPITAL MARKETS | PORTFOLIO MANAGEMENTDDC classification: 332.6Item type | Current location | Call number | Status | Notes | Date due |
---|---|---|---|---|---|
Reference |
Amity Central Library
Amity Central Library, Noida |
658.15 SOR-M (Browse shelf) | Not For Loan | ASB 1624 | |
Books |
Amity Central Library
Amity Central Library, Noida |
658.15 SOR-M (Browse shelf) | Available | ASB 1625 |
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658.15 SIE-C FINANCIAL MANAGEMENT-HANDBOOK | HANDBOOK-FINANCIAL MANAGEMENT | 658.15 SIH-F | 658.15 SIN- F Financial Management :text and pro. | 658.15 SOR-M Managing Downside Risk in Financial Markets | 658.15 SPE-I | 658.15 SRI- F Financial management: | 658.15 STO-M |
Satchell ed.
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