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Fixed-Income Securities Valuation,Risk Management and Portfolio Strategies Lionel Martellini,Philippe Priaulet and Stephane Priaulet

by Martellini Lionel.

Material type: Text Text Publication details: Great Britain Wiley Finance Series 2003Availability: Items available for loan: School of Business (1) Call number: HG4650 .M367 2003.

Investments and Portfolio Management Zvi Bodie,Aex Kane and Alan J. Marcus

by Bodie Zvi.

Edition: 9th ed.Material type: Text Text Publication details: Singapore McGraw-Hill 2011Availability: Items available for loan: School of Business (1) Call number: HG4521 .B63.

Portfolio analysis and management V. K. Bhalla

by Bhalla, V. K.

Material type: Text Text Publication details: New Delhi S. Chard & Company Ltd 2002Availability: Items available for loan: School of Business (1) Call number: HG4529.5 .B3 2002.

Investment management Stephen Lofthouse.

by Lofthouse, Stephen | Lofthouse, Stephen.

Edition: 2nd ed.Material type: Text Text Publication details: Chichester, West Sussex, England ; New York : Wiley, 2001Availability: Items available for loan: School of Business (1) Call number: HG4529.5 .L63 2001.

An introduction to market risk measurement Kevin Dowd.

by Dowd, Kevin.

Material type: Text Text Publication details: Chichester, West Sussex, England ; Hoboken, N.J. : J. Wiley, 2002Availability: Items available for loan: School of Business (1) Call number: HG4529.5 .D695 2002.

Portfolio selection : efficient diversification of investments / Harry M. Markowitz.

by Markowitz, H, 1927-.

Edition: 2nd ed.Material type: Text Text Publication details: Cambridge, Mass. : B. Blackwell, 1991Availability: Items available for loan: School of Business (3) Call number: HG4529.5 .M373 1991, ...

Modern portfolio theory and investment analysis Edwin J.Elton...[et all]

by Elton,Edwin J.

Edition: 9th editionMaterial type: Text Text; Format: print ; Literary form: Not fiction Publication details: Hoboken Wiley 2014Availability: Items available for loan: Main Campus (2) Call number: HG4529.5 . .E58 2014, ...

Portfolio Rebalancing / Edward E. Qian.

by Qian, Edward E [author.].

Series: Chapman and Hall/CRC Financial Mathematics SeriesEdition: First edition.Material type: Text Text; Format: available online remote; Literary form: Not fiction Publisher: Boca Raton, FL : CRC Press, 2017Online access: Taylor & Francis | OCLC metadata license agreement Availability: No items available.

Benefits realization management : strategic value from portfolios, programs, and projects / Carlos Eduardo Martins Serra.

by Serra, Carlos Eduardo Martins [author.].

Series: Best practices and advances in program managementMaterial type: Text Text; Literary form: Not fiction Publisher: Boca Raton : CRC Press, Taylor & Francis Group, [2017]Copyright date: ©2017Online access: Click here to view. Availability: No items available.

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