Global portfolio diversification: Risk management, market mi

By: Aggarwal, Raj (ed)Contributor(s): Schirm, David C (ed)Material type: TextTextSeries: Economic theroy, econometrics and mathematical economicsPublisher: San Diego,Academic Pr,1995Description: xvi; 302pISBN: 0-12-044500-XSubject(s): Risk management | International finance | Portfolio management | EconomicsDDC classification: 332.673/AGG
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