Aggarwal, R. (Hrsg.) (1995) Global portfolio diversification : risk management, market microstructure, and implementation issues [book]. 1. [Dr.], [Economic theory, econometrics, and mathematical economics]. 1. [Dr.]. San Diego [u.a.]: Acad. Press.
Chicago Manual of Style 17th edition (full note)Aggarwal, Raj, Hrsg. Global portfolio diversification : risk management, market microstructure, and implementation issues. Book. [Economic theory, econometrics, and mathematical economics]. 1. [Dr.]. San Diego [u.a.]: Acad. Press, [1995?], San Diego [u.a.]: Acad. Press, [1995?].
American Psychological Association 7th editionGlobal portfolio diversification : risk management, market microstructure, and implementation issues. (ca. 1995). [Book]. In R. Aggarwal (Hrsg.), [Economic theory, econometrics, and mathematical economics] (1. [Dr.]). Acad. Press.
Modern Language Association 9th editionAggarwal, R., Herausgeber. „Global portfolio diversification : risk management, market microstructure, and implementation issues“. [Economic theory, econometrics, and mathematical economics], 1. [Dr.], book, Acad. Press, 1995.
ISO-690 (author-date, Deutsch)AGGARWAL, Raj (Hrsg.). 1. [Dr.]. San Diego [u.a.]: Acad. Press. ISBN 012044500 x