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Forventes på lager: 06-11-2019
This book covers all aspects of modern finance relating to portfolio theory and risk–return relationship, offering a comprehensive guide to the importance, measurement and application of the risk–return hypothesis in portfolio management.
| Forlag | Springer, India, Private Ltd |
| Forfatter | Raj S. Dhankar |
| Type | Bog |
| Format | Hardback |
| Sprog | Engelsk |
| Udgave | 2019 ed. |
| Udgivelsesdato | 06-11-2019 |
| Første udgivelsesår | 2019 |
| Serie | India Studies in Business and Economics |
| Illustrationer | 17 Illustrations, color; 18 Illustrations, black and white; XXII, 323 p. 35 illus., 17 illus. in color. |
| Originalsprog | India |
| Sideantal | 323 |
| Indbinding | Hardback |
| Forlag | Springer, India, Private Ltd |
| Sideoplysninger | 323 pages, 17 Illustrations, color; 18 Illustrations, black and white; XXII, 323 p. 35 illus., 17 il |
| Mål | 235 x 155 |
| ISBN-13 / EAN-13 | 9788132239482 |