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主动投资组合管理:创造高收益并控制风险的量化投资方法/(美) 理查德 C. 格林诺德, 雷诺德 N. 卡恩著= Active portfolio management:a quantitative approach for providing superior returns and controlling risk/Richard C. Grinold, Ronald N. Kahn/李腾, 杨柯敏, 刘震译.-北京:机械工业出版社,2014.09