Mean-Variance Analysis in Portfolio Choice and Capital Markets > Editions

by Harry M. Markowitz First published November 1987

Mean-Variance Analysis in Portfolio Choice and Capital Markets
Published February 15th 2000 by Wiley
1, Revised ed., Hardcover, 400 pages
ISBN:
9781883249755 (ISBN10: 1883249759)
ASIN:
1883249759
Edition language:
English
Average rating:
3.67 (6 ratings)
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Mean-Variance Analysis in Portfolio Choice and Capital Markets (Frank J. Fabozzi Series Book 66)
Published May 2nd 2008 by Wiley
1, Kindle Edition, 399 pages
ASIN:
B000W97KR0
Edition language:
English
Average rating:
5.00 (1 rating)
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Mean-Variance Analysis in Portfolio Choice and Capital Markets
Published November 1st 1990 by Blackwell Pub
Paperback, 0 pages
Author(s):
ISBN:
9780631178545 (ISBN10: 0631178546)
ASIN:
0631178546
Edition language:
English
Average rating:
0.0 (0 ratings)
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MeanVariance Analysis in Portfolio Choice and Capital Markets
Published January 1st 1956 by Aziya Publisher
Unbound, 0 pages
Author(s):
ISBN:
9786124631344 (ISBN10: 6124631342)
ASIN:
6124631342
Edition language:
Russian
Average rating:
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Mean-Variance Analysis in Portfolio Choice and Capital Markets
Published May 2nd 2008 by Wiley
Kindle Edition, 399 pages
ISBN:
9780470370919 (ISBN10: 0470370912)
ASIN:
0470370912
Average rating:
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Mean-Variance Analysis in Portfolio Choice and Capital Markets
Published January 1st 1987 by Blackwell Pub
First Edition, Hardcover, 400 pages
Author(s):
ISBN:
9780631153818 (ISBN10: 0631153810)
ASIN:
0631153810
Edition language:
English
Average rating:
0.0 (0 ratings)
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