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008 210123 ||| eng
020 |a 9781292114057 
020 |a 9781292114040 
020 |a 1292114053 
050 4 |a HG4529.5 
100 1 |a Colin, Andrew 
245 0 0 |a Mastering attribution in finance  |b a practitioner's guide to risk-based analysis of investment returns  |c Andrew Colin 
260 |a Harlow, England  |b Pearson Education  |c 2016 
300 |a xxi, 289 pages  |b illustrations 
505 0 |a Includes bibliographical references (pages 281-282) and index 
653 |a Portfolio management / fast 
653 |a Rate of return / Mathematical models 
653 |a Rate of return / Mathematical models / fast 
653 |a Fixed-income securities / fast 
653 |a Technical analysis (Investment analysis) / fast 
653 |a Taux de rendement / Modèles mathématiques 
653 |a Investments / http://id.loc.gov/authorities/subjects/sh85067715 
653 |a Portfolio management / http://id.loc.gov/authorities/subjects/sh85105080 
653 |a Fixed-income securities / http://id.loc.gov/authorities/subjects/sh90004945 
653 |a Investissements 
653 |a Technical analysis (Investment analysis) / http://id.loc.gov/authorities/subjects/sh2008009128 
653 |a Analyse technique (Analyse financière) 
653 |a Gestion de portefeuille 
653 |a Investments 
653 |a Investments / fast 
041 0 7 |a eng  |2 ISO 639-2 
989 |b OREILLY  |a O'Reilly 
490 0 |a Financial Times Series 
015 |a GBB5C7190 
015 |a GBC2L1677 
776 |z 9781292114026 
776 |z 1292114029 
856 4 0 |u https://learning.oreilly.com/library/view/~/9781292114057/?ar  |x Verlag  |3 Volltext 
082 0 |a 332.632042 
082 0 |a 658 
082 0 |a 332.632044 
082 0 |a 332.6 
082 0 |a 332