Risk-return analysis. Volume I . the theory and practice of rational investing . by Harry Markowitz with Kenneth Blay.

By: Markowitz, H. (Harry), 1927-Contributor(s): Blay, KennethMaterial type: TextTextPublisher: New York McGraw-Hill. 2014Description: xxxvi, 2030 pages : illustrations ; 24 cmISBN: 9780071817936 (alk. paper); 007181793X (alk. paper)Subject(s): Markowitz, H | Investment analysis | Investments -- Mathematical models | Portfolio managementDDC classification: 332.6 LOC classification: HG4529 | .M3755 2014
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Item type Current location Home library Collection Shelving location Call number Status Date due Barcode Item holds
Book Book Central Library (CL)
Central Library (CL)
NFIC General Stacks 332.6 MAR (Browse shelf) Available NBS9383
Total holds: 0

Hard Cover

Includes bibliographical references (pages 209-215) and index.

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