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Asset Pricing and Portfolio Choice Theory [Financial Management Association Surv

Description: The item is fairly worn but still readable. The book may have some cosmetic wear (i.e. creased spine/cover, scratches, curled corners, folded pages, sunburn, stains, water damage, bent, torn, damaged binding, dent). - The dust jacket if present, may be marked, and have considerable heavy wear or might be missing. - The book might be ex-library copy, and may have the markings and stickers associated from the library - The book may have considerable highlights/notes/underlined pages but the text is legible - Safe and Secure Mailer - No Hassle Return - Used books may not include supplementary material.

Price: 12.94 USD

Location: Saint Louis, Missouri

End Time: 2024-11-05T10:38:58.000Z

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Asset Pricing and Portfolio Choice Theory [Financial Management Association Surv

Item Specifics

Return shipping will be paid by: Buyer

All returns accepted: Returns Accepted

Item must be returned within: 30 Days

Refund will be given as: Money Back

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Number of Pages: 464 Pages

Language: English

Publication Name: Asset Pricing and Portfolio Choice Theory

Publisher: Oxford University Press, Incorporated

Item Height: 1.2 in

Publication Year: 2010

Subject: Investments & Securities / Portfolio Management, Economics / General, Econometrics, Investments & Securities / General

Item Weight: 28.2 Oz

Type: Textbook

Item Length: 9.3 in

Author: Kerry Back

Subject Area: Business & Economics

Item Width: 6.2 in

Series: Financial Management Association Survey and Synthesis Ser.

Format: Hardcover

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