Your search returned 230 results.

1.
Modern portfolio theory and investment analysis

by Elton, E.J | Gruber, M.J.

Edition: 3rd edMaterial type: Text Text Publisher: New York,John Wiley,1987Availability: Items available for loan: Call number: 332.6/ELT (1).

2.
Quantitative methods for portfolio analysis: MTV model appro

by Kariya, Takeaki.

Material type: Text Text Publisher: Dordrecht,Kluwer academic Publishers,1993Availability: Items available for loan: Call number: 332.60151/KAR (1).

3.
The new money management: A framework for asset allocation

by Vince, Ralph.

Material type: Text Text Publisher: New York,John Wiley,1995Availability: Items available for loan: Call number: 332.6/VIN (1).

4.
Portfolio selection: efficient diversification of investment

by Markowitz, Harry M.

Edition: 2nd edMaterial type: Text Text Publisher: Oxford,Blackwell,1992Availability: Items available for loan: Call number: 332.6/MAR (1).

5.
Financial markets and monetary policy

by Frankel, Jeffrey A.

Material type: Text Text Publisher: Cambridge,MIT Pr,1995Availability: Items available for loan: Call number: 332.6/FRA (1).

6.
What is an exchange?: The automation, management and regualt

by Lee, Ruben.

Material type: Text Text Publisher: Oxford,Oxford Uni Pr,1998Availability: Items available for loan: Call number: 332.642/LEE (1).

7.
Treasury management

by Hudson, Robert (ed).

Edition: 2nd edMaterial type: Text Text Publisher: Oxford,Blackwell,1995Availability: Items available for loan: Call number: 332.15068/HUD (1).

8.
An introduction to risk and return from common stocks

by Brealey, R. A.

Edition: 2nd edMaterial type: Text Text Publisher: Cambridge,Cambridge Uni Pr,1983Availability: Items available for loan: Call number: 332.63223/BRE (1).

9.
Forty years of normative portfolio theory: issues, controver

by Frankfurter, George M | Phillips, Herbert E.

Material type: Text Text Publisher: Greenwich,Jai Pr,1995Availability: Items available for loan: Call number: 332.6/FRA (1).

10.
Bank restructuring: Lessons from the 1980s

by Sheng, Andrew (ed).

Material type: Text Text Publisher: Washington,World Bank,1996Availability: Items available for loan: Call number: 332.1/SHE (1).

11.
Equity investment management: How to select stocks and marke

by Lofthouse, Stephen.

Material type: Text Text Publisher: New York,John Wiley,1994Availability: Items available for loan: Call number: 332.6/LOF (1).

12.
Dynamic asset pricing theory

by Duffie, Darrell.

Material type: Text Text Publisher: Princeton,Princeton Uni Pr,1996Availability: Items available for loan: Call number: 332.6/DUF (1).

13.
Managing commodity price risk in developing countries

by Claessens, Stijn (ed) | Duncan, Ronald C (ed).

Material type: Text Text Publisher: Baltimore,John Hopkins,1994Availability: Items available for loan: Call number: 332.6328/CLA (1).

14.
The handbook of risk management and analysis

by Alexander, Carol (ed).

Material type: Text Text Publisher: Chichester,John Wiley,1996Availability: Items available for loan: Call number: 332.6/ALE (1).

15.
The prudent management of modern U.S. banks: Redefining resp

by Taylor, Jeremy F.

Material type: Text Text Publisher: Westport,Quorum Books,1994Availability: Items available for loan: Call number: 332.1068/TAY (1).

16.
Euro-Pacific investment and trade: Strategies and structural

by Boyd, Gavin (ed) | Rugman, Alan M (ed).

Material type: Text Text Publisher: Cheltenham,Edward Elgar,1997Availability: Items available for loan: Call number: 332.673099/BOY (1).

17.
Artificial intelligence in finance and investing : State-of-the-art technologies for securities selection and portfolio management / Robert R. Trippi and Jae K. Lee

by Trippi, Robert R | Lee, Jae K.

Material type: Text Text Publisher: Chicago,Irwin,1996Availability: Items available for loan: Call number: 332.10285 TRI (1).

18.
Investments: A visual approach. Modern portfolio theory and

by O'Brien, John | Srivastava, Sanjay.

Material type: Text Text Publisher: Cincinnati,South Western College Publishing,1995Availability: No items available : Withdrawn (1).

19.
Global asset allocation: Techniques for optimizing portfolio

by Lederman, Jess (ed) | Klein, Robert A (ed).

Material type: Text Text Publisher: Chichester,John Wiley,1994Availability: Items available for loan: Call number: 332.6/LED (1).

20.
Financial risk and derivatives: A special issue of the Genev

by Louberge, Henri (ed) | Subrahmanyam, Marti G (ed).

Material type: Text Text Publisher: Boston,Kluwer,1996Availability: Items available for loan: Call number: 332.645/LOU (1).


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