PORTFOLIO MANAGEMENT:THEORETICAL AND EMPIRICAL STUDIES
Material type: TextPublication details: GLOBAL INDIA PUBLICATION PVT. LTD NEW DELHI 2009Description: 312ISBN:- 978-93-80228-03-7
- 14066 332.6
- 4753
Item type | Current library | Call number | Status | Date due | Barcode | Item holds | |
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Book | Library Annexe | 332.6 / MAH / 14066 (Browse shelf(Opens below)) | Available | 11114066 |
Total holds: 0
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332.6 / JON / 4935 INVESTMENTS:ANALYSIS AND BEHAVIOUR | 332.6/Jut/28630 Financial Bubbles | 332.6 / KRI / 13936 INVESTMENT BEHAVIOUR AND RISK MANAGEMENT: | 332.6 / MAH / 14066 PORTFOLIO MANAGEMENT:THEORETICAL AND EMPIRICAL STUDIES | 332.6/ MAL/ 18173 REDESIGNING THE STOCK MARKET: | 332.6 / NAB / 1154 "SEBI:ONE SHOULD KNOWLAW,PROCEDURES GUIDLLINES" | 332.6 / PAT / 14853 SAVE TAX:THE SMART WAY PRACTICAL STRATEGIES FOR TAX AND INVESTMENT PLANNING |
4753
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