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Jamil Baz

Jamil BazJamil Baz is the chief investment strategist of GLG, a London-based hedge fund. Prior to holding this position, he was a portfolio manager with PIMCO in London, a managing director in the Proprietary Trading Group of Goldman Sachs, chief investment srategist of Deutsche Bank, and executive director of Lehman Brothers fixed income research division. Dr Baz teaches financial economics at Oxford University. He has degrees from the London School of Economics (M.Sc.), MIT (S.M.), and Harvard University (A.M., Ph.D.). Read More Read Less

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2.
Portfolio Selection and Asset Pricing: Models of Financial Economics and Their Applications in Investing26 %
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Financial Derivatives3 % NR
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₹13,676
₹13,266
Binding:
Hardback
Release:
01 Dec 2004
Language:
English
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4.
Portfolio Selection and Asset Pricing: Models of Financial Economics and Their Applications in Investing
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₹6,458
Binding:
Digital (delivered electronically)
Release:
09 Jun 2022
Language:
English
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5.
Financial Derivatives
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Release:
13 Aug 2013
Language:
English
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6.
Financial Derivatives2 % NR
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₹15,480
₹15,211
Binding:
Digital download and online
Release:
05 Jun 2012
Language:
English
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