Asset allocation : balancing financial risk / Roger C. Gibson with Christopher J. Sidoni.
Material type:
TextPublication details: New York, N.Y. : McGraw Hill Educaiton, c2013.Edition: 5th edDescription: 430 p. : illISBN: - 9780071804189
- HG4529.5 G527A 2013
Books
| Home library | Collection | Shelving location | Call number | Status | Barcode | |
|---|---|---|---|---|---|---|
| BU Library and Learning Space | Books (CNFIC) | SET Corner | HG4529.5 G527A 2013 (Browse shelf(Opens below)) | Available | 2014000002280 |
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| HG4529.5 F377P 1997 Portfolio management : theory and application | HG4529.5 F57S 1995 Security analysis and portfolio management | HG4529.5 G527A 2013 Asset allocation : balancing financial risk / | HG4529.5 G527A 2013 Asset allocation : balancing financial risk / | HG4529.5 G662A Active asset allocation : gaining advantage in a highly efficient stock market | HG4529.5 G746A Active portfolio management | HG4529.5 H334T The Dow Jones-Irwin guide to modern portfolio theory |
Includes bibliographical references and index
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