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220107s2014 gw da frn 000 0 eng |
| 015 |
|
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|a SNBZSA2021/03
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| 020 |
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|a 9783848497140
|q (brožované)
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| 035 |
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|a urn:nbn:sk:snk-am00g4to
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| 035 |
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|a urn:nbn:sk:snk-am3iyvr
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|a 33
|x Ekonómia
|2 konspekt
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| 080 |
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|a 330.322
|2 2011
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|a 165.321+167.33
|2 2011
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|a 336.763
|2 2011
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| 080 |
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|a (048.83)
|2 2011
|
| 100 |
1 |
|
|a Boorová, Zuzana
|4 aut
|9 507142
|
| 245 |
1 |
3 |
|a An optimal asset allocation in a portfolio
|b using Markowitz approach and principal component analysis
|c Zuzana Boorova
|
| 264 |
|
1 |
|a Beau Bassin
|b LAP LAMBERT Academic Publishing
|c 2014
|
| 300 |
|
|
|a 102 strán
|b grafy, tabuľky
|c 22 cm
|
| 336 |
|
|
|a text
|b txt
|2 rdacontent
|
| 337 |
|
|
|a bez média
|b n
|2 rdamedia
|
| 338 |
|
|
|a zväzok
|b nc
|2 rdacarrier
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| 504 |
|
|
|a Obsahuje bibliografiu ; bibliografické odkazy
|
| 650 |
0 |
7 |
|a portfóliá
|2 SNKPH
|9 229903
|
| 650 |
0 |
7 |
|a Portfolios
|2 SNK
|2 SNKPHeng
|9 397729
|
| 650 |
0 |
7 |
|a empirický výskum
|2 SNKPH
|9 70975
|
| 650 |
0 |
7 |
|a Empiric research
|2 SNKPHeng
|9 345916
|
| 650 |
0 |
7 |
|a cenné papiere
|2 SNKPH
|9 2110
|
| 650 |
0 |
7 |
|a Securities
|2 SNKPHeng
|9 320076
|
| 655 |
|
7 |
|a analýzy
|2 SNKPH
|9 22242
|
| 655 |
|
7 |
|a Analytic studies
|2 SNKPHeng
|9 278714
|
| 919 |
|
|
|a 978-3-8484-9714-0
|
| 958 |
|
|
|a ZS
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| 958 |
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|a NB
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| 999 |
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|r 2025-10-08 00:00:00
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