Call Number (LC) Title Results
HG4529.5 .G53 1996 Asset allocation : balancing financial risk / 1
HG4529.5 .G53 2000eb Asset allocation : balancing financial risk / 1
HG4529.5 .G53 2008 Asset allocation : balancing financial risk / 1
HG4529.5 .G56 1991 Global portfolios : quantitative strategies for maximum performance / 2
HG4529.5 .G56 2022 Global wealth chains : asset strategies in the world economy / 1
HG4529.5 .G67 2013 Intelligent financial portfolio composition based on evolutionary computation strategies 1
HG4529.5 .G7365 2020 Common sense : the investor's guide to equality, opportunity and growth / 1
HG4529.5 .G75 2000 Active portfolio management : a quantitative approach for providing superior returns and controlling risk / 1
HG4529.5 .G75 2000eb Active portfolio management : a quantitative approach for providing superior returns and controlling risk / 1
HG4529.5 .G79 2008 Integrated Market and Credit Portfolio Models Risk Measurement and Computational Aspects. 1
HG4529.5 .G87 2014 Fuzzy portfolio optimization : advances in hybrid multi-criteria methodologies / 1
HG4529.5 .G87 2016eb Multi-asset investing : a practitioner's framework / 2
HG4529.5 .H33 The Dow Jones-Irwin guide to modern portfolio theory / 3
HG4529.5 .H36 1991 Dynamic asset allocation : strategies for the stock, bond, and money markets / 1
HG4529.5 .H36 2003 Handbook of equity style management / 1
HG4529.5 .H363 1995 The Handbook of equity style management / 1
HG4529.5 .H363 1997 The Handbook of equity style management / 1
HG4529.5 .H363 2010 Handbook of portfolio construction contemporary applications of Markowitz techniques / 1
HG4529.5 .H364 2002eb The handbook of alternative investments / 1
HG4529.5 .H365 1998 Handbook of portfolio management / 1