Behavioral finance and wealth management how to build optimal portfolios that account for investor biases

By: Pompian, Michael M
Material type: TextTextPublisher: New Jersey John Wiley and Sons, Inc. 2006Description: xvii,317p.incl.indexISBN: 9780471745174Subject(s): Portfolio Analysis | Portfolio Management | Decision Making | Investments | Investment Management | Financial Management | Optimal Portfolio | Management | Wealth | Behavioral Finance | Finance | BehavioralDDC classification: 332.6 P6B3
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Item type Current location Call number Status Date due Barcode
Books Books Ahmedabad (HO)
332.6 P6B3 (Browse shelf) Available 17307

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