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book
BookPrinted Material
Author Campanella, Frank B.

Title The measurement of portfolio risk exposure; use of the beta coefficient / Frank B. Campanella. -

Publication Info. Lexington, Mass. : Lexington Books, [1972]

Item Status

Location Call No. Status OPAC Message Public Note Gift Note
 Moore Stacks  HG4539 .C33 1972    Available  ---
Description xvi, 125 pages: illustrations; 23 cm
Note "Original version ... contained in [the author's] doctoral dissertation, Harvard Business School."
Bibliography Bibliography: pages 123-125.
Subject Investments -- Mathematical models.
Investments -- Mathematical models.
ISBN 0669812730