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1

Auckenthaler, Christoph. Trust Banking: Theorie und Praxis des Anlagegeschäftes. P. Haupt, 1991.

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2

Matz, Leonard M. Managing bank investment portfolios. Sheshunoff, 1997.

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3

Blattner, Niklaus. Das Vermögensverwaltungsgeschäft der Banken in der Schweiz. P. Haupt, 1996.

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4

Brandenberger, Susanne. Investment Engineering: Intermediation und Produktegestaltung in der Vermögensverwaltung. P. Haupt, 1995.

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5

Choudhry, Moorad. The future of finance: A new model for banking and investment. Wiley, 2010.

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6

Gino, Landuyt, ed. The future of finance: A new model for banking and investment. Wiley, 2011.

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7

Mayer, Christopher W. Invest like a dealmaker: Secrets from a former banking insider. John Wiley, 2008.

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8

McGill, Ross. Investment withholding tax: Best practice and strategies for intermediaries and investors. Palgrave Macmillan, 2009.

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9

South East Asian Central Banks. Research and Training Centre., ed. Managing and monitoring direct and portfolio investment flows: A comparative study of the SEACEN countries. South East Asian Central Banks, Research and Training Centre, 2004.

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10

Leibowitz, Martin L. Investing: The collected works of Martin L. Leibowitz / Frank J. Fabozzi, editor ; foreword by William F. Sharpe. Probus Publishing Co., 1992.

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11

Brunner, Guido F. Die Vermögensverwaltung deutscher Kreditinstitute im Privatkundengeschäft. P. Lang, 1987.

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12

Portfolio and risk management for central banks and sovereign wealth funds. Palgrave Macmillan, 2011.

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13

Morris, JoAnne. Risk diversification in the credit portfolio: An overview of country practices. International Monetary Fund, Monetary and Exchange Affairs Department, 2001.

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14

Islamic asset management: An asset class on its own? Edinburgh University Press, 2011.

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15

co-author, Jaffe Justin, and LaCasse Bree co-author, eds. Uninvested: How Wall Street hijacks your money and how to fight back. Portfolio/Penguin, 2015.

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16

Singer, Brian. Investment leadership & portfolio management. Wiley, 2009.

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17

C, Brown Keith, ed. Investment analysis & portfolio management. South-Western Cengage Learning, 2012.

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18

Dobbins, Richard. Portfolio theory and investment management. Basil Blackwell, 1986.

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19

Reilly, Frank K. Investment analysis and portfolio management. 2nd ed. Dryden Press, 1985.

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20

C, Brown Keith, ed. Investment analysis and portfolio management. 7th ed. South-Western/Thomson Learning, 2003.

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21

Cohen, Jerome Bernard. Investment analysis and portfolio management. 5th ed. Irwin, 1987.

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22

Reilly, Frank K. Investment analysis and portfolio management. 3rd ed. Dryden Press, 1989.

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23

F, Witt Stephen, and Fielding John, eds. Portfolio theory and investment management. 2nd ed. Blackwell Business, 1994.

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24

Chandra, Prasanna. Investment analysis and portfolio management. McGraw-Hill, 2010.

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25

Reilly, Frank K. Investment analysis and portfolio management. 4th ed. Dryden Press, 1994.

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26

Reilly, Frank K. Investment analysis and portfolio management. 6th ed. South-Western/Thomson Learning, 2000.

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27

Chandra, Prasanna. Investment analysis and portfolio management. McGraw-Hill, 2010.

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28

Reilly, Frank K. Investment analysis and portfolio management. 3rd ed. Holt, R & W, 1989.

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29

Singer, Brian, and Greg Fedorinchik. Investment Leadership and Portfolio Management. John Wiley & Sons, Inc., 2009. http://dx.doi.org/10.1002/9781118267844.

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30

Reilly, Frank K. Investment analysis and portfolio management. 5th ed. Dryden Press, 1997.

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31

Reilly, Frank K. Investment analysis and portfolio management. 9th ed. South-Western Cengage Learning, 2009.

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32

Tanous, Peter J. Investment visionaries. Prentice Hall Press, 2003.

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33

Strutz, Eric. Wertmanagement von Banken. P. Haupt, 1993.

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34

Goldstein, Itay. Foreign direct investment vs. foreign portfolio investment. National Bureau of Economic Research, 2005.

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35

Goldstein, Itay. Foreign direct investment vs. foreign portfolio investment. National Bureau of Economic Research, 2005.

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36

Investment management techniques. CSI Global Education Inc., 2004.

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37

AIMR, Research Foundation of, ed. Benchmarks and investment management. Research Foundation of AIMR, 2003.

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38

Shenoy, Catherine. Applied Portfolio Management. John Wiley & Sons, Ltd., 2008.

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39

1950-, Sayce Sarah, ed. Property portfolio management: An introduction. Routledge, 1991.

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40

Sornette, Didier. Market Risk and Financial Markets Modeling. Springer Berlin Heidelberg, 2012.

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41

Jackson, Charles. Active Investment Management. John Wiley & Sons, Ltd., 2003.

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42

Fox-Andrews, Mark. Derivatives markets & investment management. Woodhead-Faulkner, 1994.

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43

R, Randall Maury, ed. Investment analysis and management. 2nd ed. Allyn and Bacon, 1987.

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44

Leibowitz, Martin L. Modern Portfolio Management. John Wiley & Sons, Ltd., 2009.

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45

Investment champions. Citywire Financial Publishers, 2005.

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46

A, Avadhani V. Investment and securities markets in India: Investment management. Himalaya Pub. House, 1992.

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47

Algorithms for portfolio optimization and portfolio insurance. P. Haupt, 1994.

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48

Personal investment portfolio: A portfolio management guide for individual investors. International Pub. Corp., 1993.

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49

Sébastien, Lleo, ed. Risk-sensitive investment management. World Scientific, 2015.

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50

Lauritano, Mary A. Investment risk and portfolio design. Harcourt Brace Professional Pub., 1995.

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