Risk-return analysis the theory and practice of rational investing /

Includes bibliographical references and index

Bibliographic Details
Main Authors: Markowitz, H. (Harry), 1927-, author, Blay, Kenneth, author
Format:
Language:eng
Published: New York : McGraw-Hill, 2014
Subjects:
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author Markowitz, H. (Harry), 1927-, author
Blay, Kenneth, author
author_facet Markowitz, H. (Harry), 1927-, author
Blay, Kenneth, author
author_sort Markowitz, H. (Harry), 1927-, author
collection OCEAN
description Includes bibliographical references and index
first_indexed 2024-03-05T13:44:09Z
format
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institution Universiti Teknologi Malaysia - OCEAN
language eng
last_indexed 2024-03-05T13:44:09Z
publishDate 2014
publisher New York : McGraw-Hill,
record_format dspace
spelling KOHA-OAI-TEST:5046802020-12-19T17:18:41ZRisk-return analysis the theory and practice of rational investing / Markowitz, H. (Harry), 1927-, author Blay, Kenneth, author New York : McGraw-Hill,2014engIncludes bibliographical references and indexPSZJBLInvestment analysisInvestmentsPortfolio managementURN:ISBN:9780071817936 (hbk.)
spellingShingle Investment analysis
Investments
Portfolio management
Markowitz, H. (Harry), 1927-, author
Blay, Kenneth, author
Risk-return analysis the theory and practice of rational investing /
title Risk-return analysis the theory and practice of rational investing /
title_full Risk-return analysis the theory and practice of rational investing /
title_fullStr Risk-return analysis the theory and practice of rational investing /
title_full_unstemmed Risk-return analysis the theory and practice of rational investing /
title_short Risk-return analysis the theory and practice of rational investing /
title_sort risk return analysis the theory and practice of rational investing
topic Investment analysis
Investments
Portfolio management
work_keys_str_mv AT markowitzhharry1927author riskreturnanalysisthetheoryandpracticeofrationalinvesting
AT blaykennethauthor riskreturnanalysisthetheoryandpracticeofrationalinvesting