LEADER 01198nam0 22003131i 450 001 RML0294252 005 20231121125738.0 010 $a007137695X 100 $a20121121d2000 ||||0itac50 ba 101 | $aeng 102 $aus 181 1$6z01$ai $bxxxe 182 1$6z01$an 200 1 $aActive portfolio management$eA quantitative approach for providing superior returns and controlling risk$fRichard C. Grinold, Ronald N. Kahn 205 $a2. ed 210 $aNew York $cMcGraw-Hill $dİ2000 215 $aXV, 596 p.$d24 cm 606 $aFinanza$xMetodi statistici$2FIR$3RMLC404537$9I 676 $a332.6$9$v20 700 1$aGrinold$b, Richard C.$3RMLV190047$01445359 701 1$aKahn$b, Ronald N.$3RMLV190046$4070$01445360 801 3$aIT$bIT-01$c20121121 850 $aIT-FR0098 899 $aBiblioteca Area Giuridico Economica$bFR0098 912 $aRML0294252 950 0$aBiblioteca Area Giuridico Economica$d 53DIPSE 332.6/20$e 53VM 0000638985 VM barcode:BAGE000799. - Inventario:83. - Fondo:Sala consultazioneVM$fA $h20061017$i20121204 977 $a 53 996 $aActive portfolio management$93628637 997 $aUNICAS