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00000cam a2200000 7i4500 |
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0000058095 |
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20211229.0 |
| 008 |
090121s2005 my eng |
| 020 |
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|a 9679581985
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| 020 |
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|a 9789679581980
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| 090 |
0 |
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|a HG4529.5
|b .N67 2005
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| 100 |
0 |
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|a Norzaidi Mohd Daud ,
|e author
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| 245 |
1 |
1 |
|a Study guide to portfolio management
|c Norzaidi Mohd Daud, Jaafar Mohamad, Zulkifli Mohamed
|
| 260 |
|
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|a Shah Alam :
|b Pusat Penerbitan Universiti, Universiti Teknologi Mara ,
|c c2005
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| 300 |
|
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|a ix, 142 p. ;
|c 23 cm.
|
| 500 |
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|a Includes exercises
|
| 504 |
|
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|a Includes bibliographical references
|
| 505 |
0 |
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|a 1. Introduction to portfolio management -- 2. Risk and return -- 3. Portfolio anlysis(risk and return) -- 4. Capital market theory -- 5. Bond portfolio management -- 6. Portfolio selection -- 7. Managed portfolio management -- 8. Unit trusts in Malaysia
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| 650 |
|
0 |
|a Investment analysis
|x Study and teaching (Higher)
|
| 650 |
|
0 |
|a Portfolio management
|x Problems, exercises, etc.
|
| 650 |
|
0 |
|a Portfolio management
|x Study and teaching (Higher)
|
| 700 |
0 |
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|a Jaafar Mohamad ,
|e author
|
| 700 |
0 |
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|a Zulkifli Mohamad al-Bakri ,
|d 1969- ,
|e author
|
| 999 |
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|a 1000118199
|b Book
|c OPEN SHELF (30 DAYS)
|e Gong Badak Campus
|