Risk-return analysis : the theory and practice of rational investing
Risk-return analysis : the theory and practice of rational investing is a book. It was written by Harry Markowitz and published by Mc Graw-Hill Education in 2014.
Key facts
- author: Harry Markowitz
- publication date: 2014
- book publisher: Mc Graw-Hill Education
- book series: unknown
- book subjects: Investments-Mathematical models, Portfolio management-Mathematical models, Investment analysis-Mathematical models
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"Risk-return analysis : the theory and practice of rational investing" is one of the books by Harry Markowitz, books by Mc Graw-Hill Education and 2,617,384 books in our database.
This dashboard is based on data from: The British Library.
This content is available under the CC BY 4.0 license.