01198nam0 22003131i 450 RML029425220231121125738.0007137695X20121121d2000 ||||0itac50 baengusz01i xxxe z01nActive portfolio managementA quantitative approach for providing superior returns and controlling riskRichard C. Grinold, Ronald N. Kahn2. edNew York McGraw-Hill ©2000XV, 596 p.24 cmFinanzaMetodi statisticiFIRRMLC404537I332.620Grinold, Richard C.RMLV1900471445359Kahn, Ronald N.RMLV1900460701445360ITIT-0120121121IT-FR0098 Biblioteca Area Giuridico EconomicaFR0098 RML0294252Biblioteca Area Giuridico Economica 53DIPSE 332.6/20 53VM 0000638985 VM barcode:BAGE000799. - Inventario:83. - Fondo:Sala consultazioneVMA 2006101720121204 53Active portfolio management3628637UNICAS