Risk-return analysis Volume I : the theory and practice of rational investing
by
 
Markowitz, H. (Harry), 1927-

Title
Risk-return analysis Volume I : the theory and practice of rational investing

Author
Markowitz, H. (Harry), 1927-
 
Blay, Kenneth

ISBN
9780071817936

Personal Author
Markowitz, H. (Harry), 1927-

Publication Information
New York : McGraw-Hill, [2014]

Physical Description
xxxvi, 2030 p. : ill. ; 24 cm

Subject Term
Investment analysis.
 
Investments - Mathematical models
 
Portfolio management.

Added Author
Blay, Kenneth


LibraryItem BarcodeMaterial TypeShelf NumberStatus
Perpustakaan Jabatan39292004283338Adult Bussiness & Economic (openshelf)332.6/MAREconomy & Business
Perpustakaan Kuala Lumpur39292004381040Adult Bussiness & Economic (openshelf)332.6/MAREconomy & Business