
000 | 00958camuuu200277 a 4500 | |
001 | 000000918055 | |
005 | 19990112095951.0 | |
008 | 930517s1994 enka b 001 0 eng | |
010 | ▼a 93023965 | |
020 | ▼a 0631191828 (alk. paper) | |
040 | ▼a DLC ▼c DLC ▼d DLC ▼d 244002 | |
049 | 0 | ▼l 151006975 |
050 | 0 0 | ▼a HG4529.5 ▼b .D62 1994 |
082 | 0 0 | ▼a 332.6 ▼2 20 |
090 | ▼a 332.6 ▼b D632p2 | |
100 | 1 | ▼a Dobbins, Richard. |
245 | 1 0 | ▼a Portfolio theory and investment management / ▼c Richard Dobbins, Stephen F. Witt, and John Fielding. |
250 | ▼a 2nd ed. | |
260 | ▼a Oxford, OX, UK ; ▼a Cambridge, Mass., USA : ▼b Blackwell Business, ▼c 1994. | |
300 | ▼a vii, 181 p. : ▼b ill. ; ▼c 23 cm. | |
500 | ▼a Subtitle on cover: An introduction to modern portfolio theory. | |
504 | ▼a Includes bibliographical references (p. [167]-174) and indexes. | |
650 | 0 | ▼a Portfolio management. |
650 | 0 | ▼a Investment analysis. |
700 | 1 | ▼a Witt, Stephen F. |
700 | 1 | ▼a Fielding, John. |
소장정보
No. | 소장처 | 청구기호 | 등록번호 | 도서상태 | 반납예정일 | 예약 | 서비스 |
---|---|---|---|---|---|---|---|
No. 1 | 소장처 세종학술정보원/사회과학실(4층)/ | 청구기호 332.6 D632p2 | 등록번호 151006975 | 도서상태 대출가능 | 반납예정일 | 예약 | 서비스 |
컨텐츠정보
목차
Preface.
1. The Revolution in Portfolio Theory: a Summary.
2. The Mean-variance Approach to Portfolio Management.
3. The Capital-asset Pricing Model.
4. The Efficient Market Hypothesis: The Early Evidence.
5. Implications of the Efficient Market Hypothesis.
6. The Efficient Market Hypothesis Revisited: Some Recent Developments.
7. Risk Measurement Services.
8. Option Pricing Theory.
Appendix: Study Questions.
References.
Index.
정보제공 :
