Publisher University of Cambridge, Dept. of Applied Economics
Publication date 2002
Publication location Cambridge
Language English
Topics
Analysis of variance
Investment analysis :: Statistical methods
Catalogue Data
OBNB ID GBA232162
ISBN 10 n/a
ISBN 13 n/a
Type BibliographicResource, Book
ISBD
P1053 16 p.
P1042 Includes bibliographical references.
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Generalised mean-variance analysis and robust portfolio diversification by Stephen M. Wright. Published by University of Cambridge, Dept. of Applied Economics in 2002. Publication and catalogue information, links to buy online and reader comments.