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Robust Portfolio Optimization and Management - eBook

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Financial Modeling of the Equity Market : From CAPM to Cointegration - Book

Financial Modeling of the Equity Market : From CAPM to Cointegration

Frank J. (School of Management, Yale University, USA) Fabozzi

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Probability and Statistics for Finance - Book

Probability and Statistics for Finance

Svetlozar T. (University of California, Santa Barbara) Rachev

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Quantitative Equity Investing : Techniques and Strategies - Book

Quantitative Equity Investing : Techniques and Strategies

Frank J. (School of Management, Yale University) Fabozzi

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Financial Modeling of the Equity Market : From CAPM to Cointegration - eBook

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Quantitative Equity Investing : Techniques and Strategies - eBook

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Quantitative Equity Investing : Techniques and Strategies - eBook

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Probability and Statistics for Finance - eBook

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Probability and Statistics for Finance - eBook

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Robust Portfolio Optimization and Management - Book

Robust Portfolio Optimization and Management

Frank J. (School of Management, Yale University) Fabozzi

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