APA Style
GRINOLD, RICHARD D., KAHN, RONALD N.. (2000).
ACTIVE PORTFOLIO MANAGEMENT: A QUANTITATIVE APPROACH FOR PRODUCING SUPERIOR RETURNS AND CONTROLLING RISK (2nd. ed.).
New York:
McGraw-Hill.
Chicago Style
GRINOLD, RICHARD D., KAHN, RONALD N..
ACTIVE PORTFOLIO MANAGEMENT: A QUANTITATIVE APPROACH FOR PRODUCING SUPERIOR RETURNS AND CONTROLLING RISK.
2nd. ed.
New York:
McGraw-Hill,
2000.
Text.
MLA Style
GRINOLD, RICHARD D., KAHN, RONALD N..
ACTIVE PORTFOLIO MANAGEMENT: A QUANTITATIVE APPROACH FOR PRODUCING SUPERIOR RETURNS AND CONTROLLING RISK.
2nd. ed.
New York:
McGraw-Hill,
2000.
Text.
Turabian Style
GRINOLD, RICHARD D., KAHN, RONALD N..
ACTIVE PORTFOLIO MANAGEMENT: A QUANTITATIVE APPROACH FOR PRODUCING SUPERIOR RETURNS AND CONTROLLING RISK.
2nd. ed.
New York:
McGraw-Hill,
2000.
Print.