The theory and practice of investment managementMore by Frank J. Fabozzi, Harry Max Markowitz
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| Format | Publisher | Year | ISBN |
|---|---|---|---|
| Edition | B. Blackwell | 1991 | 9781557861085 |
The theory and practice of investment managementMore by Frank J. Fabozzi, Harry Max Markowitz
Mean-variance analysis in portfolio choice and capital marketsMore by Harry Max Markowitz, G. Peter Todd et al.
Portfolio theory, 25 years afterMore by Harry Max Markowitz, Edwin J. Elton et al.
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Capital ideas and market realitiesMore by Bruce I. Jacobs, Harry Max Markowitz
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The theory and practice of investment management
Mean-variance analysis in portfolio choice and capital markets
Capital ideas and market realities
Harry Markowitz
Portfolio theory, 25 years after
Equity valuation and portfolio management
Portfolio Selection: Efficient Diversification of Investments (Cowles Foundation Monograph: No. 16)