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  • An Introduction to Return and Risk Measurement
    Wolfgang Marty
    978-3-319-03509-3
    2013
    Edition 1
    • Explains how to analyze key variables for constructing a portfolio
    • Provides a rich collection of examples to assist the student in following the theory
    • Equips the reader with essential performance measurement know-how extending to advanced research topics
    • Includes supplementary material: sn.pub/extras

    €419

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