Active Portfolio Management: A Quantitative Approach to Providing Superior Returns and Controlling Riskby Richard C. Grinold; Ronald N. Kahn
Review by: Gregory ConnorVolume:
13
Language:
english
Journal:
The Review of Financial Studies
DOI:
10.2307/2646064
Date:
January, 2000
File:
PDF, 192 KB
english, 2000