Call Number (LC) | Title | Results |
---|---|---|
HG4529 .Y42 2011eb | High-frequency trading models | 1 |
HG4529 .Y8 2010 | Full trading circle : the complete undergroundtrader system for timing & profiting in all financial markets / | 1 |
HG4529 .Y85 2014eb | Simple profits from swing trading, revised and updated : the underground trader swing trading system explained / | 1 |
HG4529 .Z35 2006eb | Economic dynamics and information | 1 |
HG4529.5 |
Professional investment portfolio management : boosting performance with machine-made portfolios and stock market evidence / Trading basics : evolution of a trader / Portfolio construction, measurement, and efficiency essays in honor of Jack Treynor / Asset rotation : the demise of modern portfolio theory and the birth of an investment renaissance / Multicriteria portfolio construction with Python The second leg down : strategies for profiting after a market sell-off / Quantitative fund management Applied Equity Analysis and Portfolio Management : Tools to Analyze and Manage Your Stock Portfolio / Inside the black box : a simple guide to quantitative and high frequency trading / Postmodern portfolio theory : navigating abnormal markets and investor behavior / Portfolio optimization using fundamental indicators based on multi-objective EA / Global asset management : strategies, risks, processes, and technologies / Portfolio optimization with different information flow / Portfolio management : theory and practice / Enterprise Release Management : Agile Delivery of a Strategic Change Portfolio. Crypto Currencies and Traditional Investment Portfolios. An Empirical Study on the Effects of Adding Crypto Currencies to Traditional Investment Portfolios A practitioner's guide to asset allocation / Principles of quantitative equity investing : a complete guide to creating, evaluating, and implementing trading strategies / Project management for performance improvement teams / Portfolio Rebalancing / Portfolio selection using multi-objective optimisation / Goals-based portfolio theory / Goals-based wealth management : an integrated and practical approach to changing the structure of wealth advisory practices / Digital wealth : an automatic way to invest successfully / Security analysis and portfolio management : a primer / Understanding Asset Allocation : an Intuitive Approach to Maximizing Your Portfolio. Modern portfolio theory : foundations, analysis, and new developments + website / An introduction to fund management Trend following with managed futures : the search for crisis alpha / Robust equity portfolio management + website : formulations, implementations, and properties using MATLAB / Portfolio construction and analytics / Getting back to business : why modern portfolio theory fails investors and how you can bring common sense to your portfolio / Inside the black box : the simple truth about quantitative trading / How to really ruin your financial life and portfolio / Effective portfolio management systems / Think like the great investors : make better decisions and raise your investing to a new level / The sector strategist : using new asset allocation techniques to reduce risk and improve investment returns / Beyond diversification : what every investor needs to know about asset allocation / Better Than Alpha. Quantitative portfolio management : the art and science of statistical arbitrage / Wiley 11th Hour Guide for 2015 Level I CFA. Alternative investments in wealth management : a comprehensive study of the Central and East European market / The permanent portfolio Harry Browne's long-term investment strategy / The handbook of portfolio mathematics formulas for optimal allocation & leverage / The sector strategist using new asset allocation techniques to reduce risk and improve investment returns / Mastering attribution in finance : a practitioner's guide to risk-based analysis of investment returns / Identifying patterns in financial markets : new approach combining rules between PIPs and SAX / The Complete Guide to Portfolio Construction and Management. Strategic and tactical asset allocation : an integrated approach / DIY financial advisor : a simple solution to build and protect your wealth / Portfolio analytics : an introduction to return and risk measurement / Portfolio management : delivering on strategy / Die Einbringung in eine Personengesellschaft nach 24 UmwStG : Eine kritische Analyse anhand zweier Fallbeispiele. Trading and money management in a student-managed portfolio / Advanced REIT portfolio optimization : innovative tools for risk management / Applied fundamentals in finance : portfolio management and investments / Beyond smart beta : index investment strategies for active portfolio management / Adaptive asset allocation : dynamic global portfolios to profit in good times - and bad / Portfolio analysis from probabilistic to credibilistic and uncertain approaches / The science of algorithmic trading and portfolio management / The principles of alternative investments management : a study of the global market / Quantitative portfolio management with applications in Python / Common sense : the investor's guide to equality, opportunity and growth / Alternative data and artificial intelligence techniques applications in investment and risk management / Sustainable asset accumulation and dynamic portfolio decisions. |
94 |
HG4529.5 A2155 2010eb | Alternative assets and strategic allocation : rethinking the institutional approach / | 2 |
HG4529.5 .A24 2002 | Asset management : equities demystified / | 1 |
HG4529.5 .A26 2003eb | Advances in portfolio construction and implementation / | 2 |
HG4529.5 .A36 2014 | Developments in mean-variance efficient portfolio selection / | 1 |
HG4529.5 .A36 2015 | Developments in mean-variance efficient portfolio selection / | 1 |
HG4529.5 .A372 1998 | Active equity portfolio management / | 1 |
HG4529.5 .A375 1989 | Active total return management of fixed income portfolios / | 2 |
HG4529.5 A436 2018 | Assymetric Dependence in Finance : Diversification, Correlation and Portfolio Management in Market Downturns. | 1 |
HG4529.5 .A463 2003eb | Portfolio theory and performance analysis / | 1 |
HG4529.5 .A52 2009 | Own the world : how smart investors create global portfolios / | 1 |
HG4529.5 .A53 2006eb | Investment management and mismanagement history, findings, and analysis / | 1 |
HG4529.5 .A53 2018 | Asymmetric dependence in finance : diversification, correlation and portfolio management in market downturns / | 1 |
HG4529.5 .A83 2007eb | Asset allocation and international investments | 1 |
HG4529.5 A874 2019 | Asset management : transforming asset dependent businesses / | 1 |
HG4529.5 .A88 1988 | Asset allocation : a handbook of portfolio policies, strategies & tactics / | 1 |