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20110525102152.0 |
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911204s1990 xxk 001 0 eng |
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|a 0631178546
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|9 (HR-ZaNSK)349484
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|9 (HR-ZaNSK)911204026
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|a (HR-ZaNSK)000349076
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|a HR-ZaNSK
|b hrv
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|e ppiak
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|a eng
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|a uk
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|a 330.322:336.76
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|a 336.76:330.322
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1 |
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|a Markowitz, Harry M.
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|a Mean-variance analysis in portfolio choice and capital markets /
|c Harry M. Markowitz.
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250 |
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|a 1st publ.
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|a Oxford ;
|a Cambridge :
|b B. Blackwell,
|c 1990.
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|a XI, 387 str. ;
|c 24 cm.
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|a Bibliografija: str. 369-374
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504 |
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|a Kazalo
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653 |
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|a Tržište kapitala
|a Investicije
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852 |
4 |
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|j 639.675
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876 |
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|e K
|a 2628/91
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886 |
0 |
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|2 unimarc
|b 00722nam0 2200253 450
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