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Mean-variance analysis in portfolio choice and capital markets /
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Mean-variance analysis in portfolio choice and capital markets /

正題名/作者 : Mean-variance analysis in portfolio choice and capital markets // Harry M. Markowitz.

作者 : Markowitz, H.

出版者 : New York :B. Blackwell,1987.

面頁冊數 : xi, 387 p. :ill. ;24 cm.

附註 : Includes index.

標題 : Portfolio management - Mathematical models. -

ISBN : 0631153810 :

LEADER 00556nam 2200181 a 450

001 76802

008 870422s1987 nyu b 00110 eng

010 $a 87002975

020 $a0631153810 :$c$49.95

035 $a00010561

050 0 $aHG4529.5$b.M37 1987

082 0 $a332.6$219

090 $a332.6/M342/////501909/502557/504362/ECONG

100 10$aMarkowitz, H.$q(Harry),$d1927-$3140686

245 10$aMean-variance analysis in portfolio choice and capital markets /$cHarry M. Markowitz.

260 0 $aNew York :$bB. Blackwell,$c1987.

263 $a8709

300 $axi, 387 p. :$bill. ;$c24 cm.

500 $aIncludes index.

504 $aBibliography: p.

650 0$aPortfolio management$xMathematical models.$3140687

650 0$aCapital market$xMathematical models.$3140688

Markowitz, H.1927-

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

Includes index.

Bibliography: p.

ISBN: 0631153810 :$49.95

LCCN: 87002975Subjects--Topical Terms:

140687
Portfolio management
--Mathematical models.

LC Class. No.: HG4529.5 / .M37 1987

Dewey Class. No.: 332.6
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