Mean-Variance in Portfolio Choice and Capital Markets
MARKOWITZ, H. M., TODD, G. P., TODD, P. Mean-Variance in Portfolio Choice and Capital Markets. New York etc.: McGraw-Hill, 2000. ISBN 1883249759. |
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Basic information | |
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Original name | Mean-Variance in Portfolio Choice and Capital Markets |
Authors | MARKOWITZ, H. M., TODD, G. P., TODD, P. |
Edition | New York etc.: McGraw-Hill, 2000. |
Other information | |
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ISBN | 1883249759 |
Changed by | Changed by: RNDr. Jan Géryk, Ph.D., učo 72902. Changed: 31/1/2019 10:25. |
PrintDisplayed: 9/5/2024 18:41