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Warren, Gorham & Lamont, Incorporated, 1990. Paperback. Good. Pages can have notes/highlighting. Spine may show signs of wear. ~ ThriftBooks: Read More, Spend Less.Dust jacket quality is not guaranteed.
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Managing Investment Portfolios: A Dynamic Process Hardcover - 1990
by John L. Maginn (Editor); Donald L. Tuttle (Editor)
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- Title Managing Investment Portfolios: A Dynamic Process
- Author John L. Maginn (Editor); Donald L. Tuttle (Editor)
- Binding Hardcover
- Edition Second Edition/S
- Pages 1
- Volumes 1
- Language ENG
- Publisher Warren Gorham & Lamont, Carol Stream, Illinois, U.S.A.
- Date 1990
- ISBN 9780791303221 / 0791303225
- Library of Congress Catalog Number 89050465
- Dewey Decimal Code 332.6
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Managing Investment Portfolios Workbook : A Dynamic Process
by Maginn, John L.
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Managing Investment Portfolios Workbook : A Dynamic Process
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Managing Investment Portfolios: A Dynamic Process
by John L. Maginn
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Managing Investment Portfolios: A Dynamic
by Managing Investment Portfolios: A Dynamic Process Process
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Used - Very Good. Great condition, cover has minimal shelf wear. No writing or highlights observed. Shrink-wrapped for maximum protection during shipping. Great condition, cover has minimal shelf wear. No writing or highlights observed. Shrink-wrapped for maximum protection during shipping.
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Managing Investment Portfolios: A Dynamic Process
by Maginn, John L.
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US: Warren Gorham & Lamont, 1990. Very Good. Managing Investment Portfolios: A Dynamic Process book.
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Managing Investment Portfolios: A Dynamic Process
by Maginn, John L
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Warren Gorham & Lamont, 1990-04-01. Paperback. Like New. Prompt shipment, with tracking. we ship in CLEAN SECURE NEW boxes Second Edition. Near fine.
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Managing Investment Portfolios: A Dynamic Process
by Maginn, John L
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Warren Gorham & Lamont, 1990-04-01. Paperback. Good. Prompt shipment, with tracking. we ship in CLEAN SECURE NEW boxes Cover rubbed and creased, else good. SECOND EDITION.
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Managing Investment Portfolios: A Dynamic Process (Student Edition)
by Maginn, John L. & Donald L. Tuttle (Eds.)
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Minneapolis, Minnesota, United States
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Boston & New York: Warren, Gorham & Lamont, 1990 WYSIWYG pricing--no added shipping charge for standard shipping within USA. Shiny grey wraps with yellow, black, & white titles & dec., chapters separately paginated, about 3 cm thick, charts, diagrams, tables, chapter bibliographies, index. Contents: principles of financial asset management (the portfolio management process & its dynamics, by the editors; portfolio management basics, by Charles A. D'Ambrosio); investor objectives & constraints (individual investors, by Ronald W. Kaiser; determination of portfolio policies: individual investors, by Keith P. Ambachtsheer, John L. Maginn & Jay Vawter); expectational factors (capital market expectations: the macro factors, by Jeffrey J. Diermeier; individual asset expectations, by William S. Gray III); integration of portfolio policies & expectational factors (asset allocation, by William F. Sharpe; portfolio construction: fixed income, by H Gifford Fong; equity…
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