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Risk-return analysis: the theory and practice of rational investing

Detalles Bibliográficos
Autores principales: Markowitz, H, Blay, Kenneth
Lenguaje:eng
Publicado: McGraw-Hill Education 2014
Materias:
Acceso en línea:http://cds.cern.ch/record/2658742
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author Markowitz, H
Blay, Kenneth
author_facet Markowitz, H
Blay, Kenneth
author_sort Markowitz, H
collection CERN
id cern-2658742
institution Organización Europea para la Investigación Nuclear
language eng
publishDate 2014
publisher McGraw-Hill Education
record_format invenio
spelling cern-26587422021-04-21T18:35:23Zhttp://cds.cern.ch/record/2658742engMarkowitz, HBlay, KennethRisk-return analysis: the theory and practice of rational investingCommerce, Economics, Social ScienceMcGraw-Hill Educationoai:cds.cern.ch:26587422014
spellingShingle Commerce, Economics, Social Science
Markowitz, H
Blay, Kenneth
Risk-return analysis: the theory and practice of rational investing
title Risk-return analysis: the theory and practice of rational investing
title_full Risk-return analysis: the theory and practice of rational investing
title_fullStr Risk-return analysis: the theory and practice of rational investing
title_full_unstemmed Risk-return analysis: the theory and practice of rational investing
title_short Risk-return analysis: the theory and practice of rational investing
title_sort risk-return analysis: the theory and practice of rational investing
topic Commerce, Economics, Social Science
url http://cds.cern.ch/record/2658742
work_keys_str_mv AT markowitzh riskreturnanalysisthetheoryandpracticeofrationalinvesting
AT blaykenneth riskreturnanalysisthetheoryandpracticeofrationalinvesting