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Mean-Variance Analysis in Portfolio Choice and Capital Markets

by Harry M. Markowitz

  • ISBN: 9781883249755
  • ISBN10: 1883249759

Mean-Variance Analysis in Portfolio Choice and Capital Markets

by Harry M. Markowitz

  • List Price: $110.00
  • Binding: Hardcover
  • Publisher: John Wiley & Sons Inc
  • Publish date: 02/01/2000
  • ISBN: 9781883249755
  • ISBN10: 1883249759
used Add to Cart $71.43
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Description: Over four decades ago, Harry Markowitz first unveiled his groundbreaking mean-variance portfolio analysis. Its implications for investors and portfolio managers continue to reverberate. This revised book, originally published in 1987, provides an updated portfolio selection program to go with its comprehensive, detailed-yet-accessible account of that solution.
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Product notice Returnable at the third party seller's discretion and may come without consumable supplements like access codes, CD's, or workbooks.
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Seller: BingoBooks2
Location: Vancouver, WA
Condition: Very Good
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Hardback book in near fine condition.
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$71.43
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Hardback book in near fine condition.
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