Mean-variance analysis in portfolio choice and capital markets
Harry M. Markowitz
Bok Språk ikke angitt 1987
Utgitt | Oxford : Blackwell , 1987
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Omfang | xi, 387 s. : ill.
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Emner | Capital market - Mathematical models
Portfolio management - Mathematical models sosialøkonomi kapitalmarked matematiske-modeller portfolio-management |
ISBN | 0631153810. - 0631178546
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