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Market Risk and the Management of Institutional Equity Portfolios
Home
Publications
Market Risk and the Management of Institutional Equity Portfolios
Market Risk and the Management of Institutional Equity Portfolios
GL
Gerald D. Levitz
Gerald D. Levitz
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1 January 1974
journal article
Published by
Taylor & Francis Ltd
in
CFA Magazine
Vol. 30
(1)
,
53-60
https://doi.org/10.2469/faj.v30.n1.53
Abstract
No abstract available
Cited by 16 articles