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Finance 1: Portfolio theory and management

Author
Organization
Keywords
asset allocation, portfolio management, Portfolio theory, investment analysis

Citation

Please use this url to cite or link to this publication:

MLA
Frömmel, Michael. Finance 1: Portfolio Theory and Management. 1st ed. Vol. 1. Norderstedt: BoD, 2016. Print.
APA
Frömmel, M. (2016). Finance 1: Portfolio theory and management. Textbooks in Finance (1st ed., Vol. 1). Norderstedt: BoD.
Chicago author-date
Frömmel, Michael. 2016. Finance 1: Portfolio Theory and Management. Textbooks in Finance. 1st ed. Vol. 1. Norderstedt: BoD.
Chicago author-date (all authors)
Frömmel, Michael. 2016. Finance 1: Portfolio Theory and Management. Textbooks in Finance. 1st ed. Vol. 1. Norderstedt: BoD.
Vancouver
1.
Frömmel M. Finance 1: Portfolio theory and management. 1st ed. Textbooks in Finance. Norderstedt: BoD; 2016.
IEEE
[1]
M. Frömmel, Finance 1: Portfolio theory and management, 1st ed., vol. 1. Norderstedt: BoD, 2016.
@book{8158830,
  author       = {Frömmel, Michael},
  isbn         = {978-3-74126356-9},
  keywords     = {asset allocation,portfolio management,Portfolio theory,investment analysis},
  language     = {eng},
  pages        = {352},
  publisher    = {BoD},
  series       = {Textbooks in Finance},
  title        = {Finance 1: Portfolio theory and management},
  volume       = {1},
  year         = {2016},
}