Title:
The measurement of systematic risk for securities and portfolios : some empirical results
Personal Author:
General Note:
Journal of financial and quantitative analysis. 6 : 815-833 ; 1971
Available:*
Library | Item Barcode | Call Number | Material Type | Item Category 1 | Status |
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Searching... | 30000003561119 | MAK 10685 | Open Access Book | Article | Searching... |