Normal view MARC view

The measurement of portfolio risk exposure: use of the beta coefficient

Author: Campanella, Frank B. Publisher: Lexington Books 1972.Language: EnglishDescription: xvi, 125 p ; 23 cm.ISBN: 0669812730Type of document: BookNote: "Original version ... contained in [the author's] doctoral dissertation, Harvard Business School."/Bibliography: p. 123-125
Tags: No tags from this library for this title. Add tag(s)
Log in to add tags.
Item type Current location Collection Call number Status Date due
Book Doriot Library
Main Collection
Print HG4539 .C33 1972
(Browse shelf)
000240881
Available

"Original version ... contained in [the author's] doctoral dissertation, Harvard Business School."/Bibliography: p. 123-125

There are no comments for this item.

Log in to your account to post a comment.
Koha 3.18 - INSEAD Library Catalogue
Library Home | Contact Us | What's Koha?