Please use this identifier to cite or link to this item: https://thuvienso.dau.edu.vn:88/handle/DHKTDN/6854
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dc.contributor.authorKachapova, Farida-
dc.date.accessioned2015-01-20T03:18:42Z-
dc.date.available2015-01-20T03:18:42Z-
dc.date.issued2013-
dc.identifier.issn9788740303704-
dc.identifier.urihttps://thuvienso.dau.edu.vn:88/handle/DHKTDN/6854-
dc.description.abstract1. Matrices and Applications; 2. Orthogonal Projection; 3. Random Variables; 4. Regression; 5. Portfolio Modelling; 6. Mean-Variance Analysis; 7. Capital Market Theory; 8. Bibliography.vi
dc.language.isoenvi
dc.publisherVentus Publishing ApSvi
dc.subjectMathematicsvi
dc.subjectPortfolio Analysisvi
dc.titleMathematical Models in Portfolio Analysisvi
dc.typeBookvi
Appears in Collections:Ngoại Văn

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