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00441nam ac200169 k 4500
000003566479
20220101120000
ta
010731s1983 US 000 eng
▼a 211070
▼c 211070
▼l WM0003017587
▼a HG4529.5
▼a HG4529.5
▼b D63
▼a PORTFOLIO THEORY AND INVESTMENT MANAGEMENT/
▼d DOBBINS,RICHARD
▼a OXFORD:
▼b MARTIN ROBERTSON,
▼c 1983.
▼a 201p.
▼a DOBBINS,RICHARD
▼a 단행본
| 자료유형 : | 단행본 |
|---|---|
| 분류기호 : | HG4529.5 |
| 서명/저자사항 : | PORTFOLIO THEORY AND INVESTMENT MANAGEMENT/ DOBBINS,RICHARD |
| 발행사항 : | OXFORD: MARTIN ROBERTSON, 1983. |
| 형태사항 : | 201p. |
| 개인저자 : | DOBBINS,RICHARD |
| 언어 | 영어 |
WMO199918755
권 호 : 201
발행년 : 1983
서 명 : PORTFOLIO THEORY AND INVESTMENT MANAGEMENT
발행처 : DOBBINS,RICHARD
목차
1. THE REVOLUTION IN PORTFOLIO THEORY:A SUMMARY
2. THE MEAN-VARIANCE APPROACH TO PORTFOLIO MANAGEMENT
3. THE CAPITAL-ASSET PRICING MODEL
4. THE EFFECIENT MARKET HYPOTHESIS
5. IMPLICATIONS OF THE EFFICIENT MARKET HYPOTHESIS
6. THE GROWTH OF INSTITUTIONAL INVESTORS
7. RISK MEASUREMENT SERVICES
8. OPTION PRICING THEORY
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