ACTIVE PORTFOLIO MANAGEMENT : A QUANTITATIVE APPROACH FOR PROVIDING SUPERIOR RETURNS AND CONTROLLING RISK
Material type: TextLanguage: ENGLISH Publication details: TATA MCGRAW-HILL PUBLISHING COMPANY LIMITED; 2000Edition: 2Description: 358ISBN:- 007058768X
- 332.60151 (MBA)
- RIC
Item type | Current library | Call number | Materials specified | Status | Notes | Date due | Barcode |
---|---|---|---|---|---|---|---|
Book | Master of Business Administration CL-MBA RACK 2 / SHELF 43 | 332.60151 (MBA) (Browse shelf(Opens below)) | Available | MBA | 20892 |
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332.6 (MBA) THE VC WAY | 332.6 (MBA) INTERNATIONAL FINANCIAL MARKETS AND INDIA | 332.6 [MBA] TAKE ON THE STREET : WHAT WALL STREET AND CORPORATE AMERICA DON'T WANT YOU TO KNOW | 332.60151 (MBA) ACTIVE PORTFOLIO MANAGEMENT : A QUANTITATIVE APPROACH FOR PROVIDING SUPERIOR RETURNS AND CONTROLLING RISK | 350 (MBA) PUBLIC ADMINISTRATION: A COMPARATIVE PERSPECTIVE | 658.4`038 (MBA) TECHNO VISION | 658.4 ( MBA ) MANAGEMENT |
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