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    <SEQUENTIAL>
      <record key="001" att1="001" value="LIB902874901" att2="LIB902874901">001   LIB902874901</record>
      <field key="037" subkey="x">englisch</field>
      <field key="050" subkey="x">Buch</field>
      <field key="076" subkey="">Ökonomie</field>
      <field key="100" subkey="">mossin, jan</field>
      <field key="331" subkey="">theory of financial markets</field>
      <field key="403" subkey="">1. ed.</field>
      <field key="410" subkey="">englewood cliffs, new jersey</field>
      <field key="412" subkey="">prentice-hall</field>
      <field key="425" subkey="">1973</field>
      <field key="433" subkey="">xiii, 171 pp.</field>
      <field key="451" subkey="">prentice-hall international series in management</field>
      <field key="517" subkey="c">from the table of contents: preface; introduction and overview of the book; risk taking and risk aversion; portfolio theory: the</field>
      <field key="dem" subkey="a">nd for securities; security market equilibrium; extensions of the valuation model; efficiency of security markets; corporate</field>
      <field key="inv" subkey="e">stment decisions; distribution of investment capital;</field>
      <field key="540" subkey="">0-13-913699-1</field>
      <field key="544" subkey="">6134-A</field>
      <field key="700" subkey="b">332</field>
      <field key="700" subkey="b">financial economics</field>
      <field key="710" subkey="">corporation -- finance</field>
    </SEQUENTIAL>
  </section>
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