Call Number (LC) Title Results
HG4529.5 .C657 2010eb Portfolio risk analysis / 1
HG4529.5 .C68 2014eb Extreme financial risks and asset allocation / 1
HG4529.5 .D37 2013eb Portfolio investment opportunities in managed futures / 1
HG4529.5.D4 2011eb Maslowian Portfolio Theory : a Coherent Approach to Strategic Asset Allocation. 1
HG4529.5 .E468 1999 Investments / 1
HG4529.5 .E78 2014eb Managing equity portfolios : a behavioural approach to improving skills and investment processes / 1
HG4529.5 .F3346 2010eb Quantitative equity investing : techniques and strategies / 1
HG4529.5 .F73 1995 Financial markets and monetary policy / 1
HG4529.5 .F7458 2011eb Alternative assets : investments for a post-crisis world / 1
HG4529.5 .G56 2022 Global wealth chains : asset strategies in the world economy / 1
HG4529.5 .G87 2016eb Multi-asset investing : a practitioner's framework / 1
HG4529.5 .H68 2002eb Household portfolios / 1
HG4529.5 .I573 2012eb Institutional money management : an inside look at strategies, players, and practices / 1
HG4529.5 .I59 2011eb Investments workbook : principles of portfolio and equity analysis /
Investments : principles of portfolio and equity analysis /
2
HG4529.5 .K37 2012eb Frontiers of modern asset allocation / 1
HG4529.5 .K556 2016 Robust portfolio management in equity markets : formulations, implementations, and properties. 1
HG4529.5 .L366 2017eb Rational investing : the subtleties of asset management / 1
HG4529.5 L56 2022eb Advanced REIT portfolio optimization : innovative tools for risk management / 1
HG4529.5.L87 2013eb Multi-asset investing : a practical approach. 1
HG4529.5 .M35 1997 The euro and the dollar / 1