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Item Details
Title:
THE OPTIMALITY OF A COMPETITIVE STOCK MA
By:
ROBERT C. MERTON
Format:
Paperback
List price:
£9.59
We currently do not stock this item, please contact the publisher directly for further information.
ISBN 10:
1334297924
ISBN 13:
9781334297922
Publisher:
LIGHTNING SOURCE UK LTD
Pub. date:
1 January, 1900
Returns:
Non-returnable
Some other items by this author:
AN ANALYTIC DERIVATION OF THE EFFICIENT (HB)
AN ANALYTIC DERIVATION OF THE EFFICIENT (PB)
AN ANALYTIC DERIVATION OF THE EFFICIENT (PB)
AN ANALYTIC DERIVATION OF THE EFFICIENT PORTFOLIO FRONTIER
AN ANALYTIC DERIVATION OF THE EFFICIENT PORTFOLIO FRONTIER
AN ANALYTIC DERIVATION OF THE EFFICIENT PORTFOLIO FRONTIER (HB)
ANALYTIC DERIVATION OF THE EFFICIENT PORTFOLIO FRONTIER (HB)
ANALYTIC DERIVATION OF THE EFFICIENT PORTFOLIO FRONTIER (PB)
CONTINUOUS-TIME FINANCE (PB)
CORPORATE FINANCE (HB)
DIVIDEND BEHAVIOR FOR THE AGGREGATE STOCK MARKET
DIVIDEND BEHAVIOR FOR THE AGGREGATE STOCK MARKET
DIVIDEND BEHAVIOR FOR THE AGGREGATE STOCK MARKET
DIVIDEND BEHAVIOR FOR THE AGGREGATE STOCK MARKET (HB)
DIVIDEND BEHAVIOR FOR THE AGGREGATE STOCK MARKET (HB)
DIVIDEND BEHAVIOR FOR THE AGGREGATE STOCK MARKET (HB)
DIVIDEND BEHAVIOR FOR THE AGGREGATE STOCK MARKET (PB)
FALLACY OF THE LOG-NORMAL APPROXIMATION (PB)
FALLACY OF THE LOG-NORMAL APPROXIMATION TO OPTIMAL PORTFOLIO DECISION-MAKING OVER MANY PERIODS
FALLACY OF THE LOG-NORMAL APPROXIMATION TO OPTIMAL PORTFOLIO DECISION-MAKING OVER MANY PERIODS
FALLACY OF THE LOG-NORMAL APPROXIMATION TO OPTIMAL PORTFOLIO DECISION-MAKING OVER MANY PERIODS (CLASSIC REPRINT) (PB)
FALLACY OF THE LOG-NORMAL APPROXIMATION TO OPTIMAL PORTFOLIO DECISION-MAKING OVER MANY PERIODS (HB)
FALLACY OF THE LOG-NORMAL APPROXIMATION TO OPTIMAL PORTFOLIO DECISION-MAKING OVER MANY PERIODS (HB)
FALLACY OF THE LOG-NORMAL APPROXIMATION TO OPTIMAL PORTFOLIO DECISION-MAKING OVER MANY PERIODS (HB)
FALLACY OF THE LOG-NORMAL APPROXIMATION TO OPTIMAL PORTFOLIO DECISION-MAKING OVER MANY PERIODS (PB)
FINANCE (HB)
FINANCE, ECONOMICS AND MATHEMATICS (HB)
FINANCE, ECONOMICS, AND MATHEMATICS
FINANCE, ECONOMICS, AND MATHEMATICS
GENEVA REPORTS ON THE WORLD ECONOMY 4 (PB)
ON MARKET TIMING AND INVESTMENT PERFORMA (HB)
ON MARKET TIMING AND INVESTMENT PERFORMA (PB)
ON MARKET TIMING AND INVESTMENT PERFORMA (PB)
ON MARKET TIMING AND INVESTMENT PERFORMANCE PART I
ON MARKET TIMING AND INVESTMENT PERFORMANCE PART II
ON THE MATHEMATICS AND ECONOMIC ASSUMPTI (HB)
ON THE MATHEMATICS AND ECONOMIC ASSUMPTI (PB)
ON THE MATHEMATICS AND ECONOMIC ASSUMPTIONS OF CONTINUOUS-TIME MODELS
ON THE MATHEMATICS AND ECONOMIC ASSUMPTIONS OF CONTINUOUS-TIME MODELS (CLASSIC REPRINT)
PENSION FINANCE
PENSION FINANCE
PENSION FINANCE
PENSION FINANCE (HB)
THE COLLECTED SCIENTIFIC PAPERS OF PAUL SAMUELSON (HB)
THE DERIVATIVES SOURCEBOOK (PB)
THE GLOBAL FINANCIAL SYSTEM
THE IMPACT ON OPTION PRICING OF SPECIFIC (PB)
THE IMPACT ON OPTION PRICING OF SPECIFICATION ERROR IN THE UNDERLYING STOCK PRICE RETURNS
THE OPTIMALITY OF A COMPETITIVE STOCK MA (HB)
THE OPTIMALITY OF A COMPETITIVE STOCK MA (PB)
THE OPTIMALITY OF A COMPETITIVE STOCK MARKET
THEORY OF RATIONAL OPTION PRICING
THEORY OF RATIONAL OPTION PRICING
THEORY OF RATIONAL OPTION PRICING (HB)
THEORY OF RATIONAL OPTION PRICING (HB)
THEORY OF RATIONAL OPTION PRICING (HB)
THEORY OF RATIONAL OPTION PRICING (PB)
THEORY OF RATIONAL OPTION PRICING (PB)
THEORY OF RATIONAL OPTION PRICING (PB)
WORTH THE RISK (HB)
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