Modern Portfolio Theory e Finanza Quantitativa: il Metodo Markowitz per Costruire Portafoglio Ottimale: Risk management in Finanza, Asset Allocation, Gestione del Investire Borsa

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Amazon Pages: 244, Paperback, Independently published

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Description (1)

Pages: 244, Paperback, Independently published


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Brand Independently Published
EAN
  • 9798255968237

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