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 :
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