Tipo | Título | Autor | Edición | Disponibilidad | Valoración |
---|---|---|---|---|---|
Libro |
On Portfolio Optimization: Forecasting Covariances and Choosing the Risk Model | Chan, Louis K. C. |
(1999) |
Sala
|
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Libro |
The Risk and Return from Factors: | Chan, Louis K. C. |
(1997) |
Sala
|
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