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Markowitz, H. 1927-

Mean-variance analysis in portfolio choice and capital markets / Harry M. Markowitz. - Oxford, OX, UK ; New York, NY, USA : B. Blackwell, 1987. - xi, 387 p. : ill. ; 24 cm.

Includes index.

Bibliography: p. [369]-374.

0631153810 : $49.95

87002975


Portfolio management--Mathematical models.
Capital market--Mathematical models.

HG4529.5 / .M37 1987

332.6 / MAM
Last Updated on September 15, 2019
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