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1.
Classroom simulation as a pedagogical device in teaching money and banking by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1976
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2.
Portfolio distribution and tests of security selection models by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1968
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3.
Corporate financial strategies and market measures of risk and return by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1973
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Availability: Items available for loan: (1).
4.
Sharpe, portfolio theory and capital markets by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1972
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Availability: Items available for loan: (1).
5.
Campanella, the measurement of portfolio risk exposure by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1973
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Availability: Items available for loan: (1).
6.
Economic significance of predictable variations in stock index returns by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1989
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7.
Sample dependent results using accounting and market data: some evidence by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1986
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