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2002, ISBN 1930556322, xvi, 176
A teacher portfolio--a collection of information about a teacher's practice--gives teachers a voice in selecting, presenting, and interpreting the work they... 
Rating of | Portfolios in education | Teachers | In-service training | Elementary Secondary Education | Personnel Evaluation | Portfolios (Background Materials) | Faculty Development | Teacher Appraisal Instrument | Teacher Competencies | Teacher Evaluation | Evaluation Methods
Book
2010, Quantitative finance series, ISBN 0123749522, xvi, 306
The practical aspects of optimization rarely receive global, balanced examinations. Stephen Satchell's nuanced assembly of technical presentations about... 
Data processing | Portfolio management | Mathematical models | Finance & Accounting | Portfolio management - Mathematical models
Book
Proceedings of the National Academy of Sciences of the United States of America, ISSN 0027-8424, 7/2009, Volume 106, Issue 30, pp. 12267 - 12272
Journal Article
2008, 1. Aufl., Lecture notes in economics and mathematical systems, ISBN 3540765921, Volume 605, xiv, 136
The book analyzes how modern portfolio theory and dynamic term structure models can be applied to government bond portfolio optimization problems. The author... 
Portfolio management | Bonds | Economics/Management Science | Finance /Banking | Quantitative Finance | Operations Research/Decision Theory | Optimization | Mathematical optimization
Book
2007, STU - Student edition, Princeton Lectures in Finance S, ISBN 9780691128429, viii, 221
In Investors and Markets, Nobel Prize-winning financial economist William Sharpe shows that investment professionals cannot make good portfolio choices unless... 
Capital assets pricing model | Investment analysis | Prices | Investments | Portfolio management | Securities | Finance & Accounting | KFFM | Investments & Securities | Finance | Business & Economics | KCA | General | KFFH | Capital asset pricing model
Book
2003, 1st ed., Quantitative finance series, ISBN 0750654481, xvi, 365
Modern Portfolio Theory explores how risk averse investors construct portfolios in order to optimize market risk against expected returns. The theory... 
Portfolio management | Business & Management | Investments | Mathematical models | Finance
Book
Journal of portfolio management, ISSN 0095-4918
Journal
2003, Seriously useful guides--, ISBN 9780750657648, xii, 136
Book
2002, Lecture notes in economics and mathematical systems, ISBN 9783540429159, Volume 514, xii, 200
Book
2003, 7th ed., ISBN 9780324171730, xxviii, 1216 p. in various pagings
Book
2018, 11th ed., ISBN 9781259277177, xxviii, 968
Book
2017, Third edition., ISBN 9781501317248, xv, 257 pages
"Today's students of architecture, interior design, and landscape design need to master the art of marketing themselves via multiple print and digital formats.... 
Vocational guidance | Landscape architecture | Employment portfolios | Interior decoration | Architecture portfolios
Book
2003, 3rd ed., ISBN 9780324071832, xx, 652
Book
2001, Graduate studies in mathematics, ISBN 0821821237, Volume 31, xiv, 253
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