Risk-return analysis : the theory and practice of rational investing. Vol. 1 /
Opis
Markowitz, Harry M. ((1927- ).)
Risk-return analysis : the theory and practice of rational investing.Vol. 1 / Harry M. Markowitz with Kenneth A. Blay.
New York [etc.] : McGraw-Hill Education, cop. 2014.
XXXVI, 230 s. : il. ; 23 cm.
ISBN 978-0-07-181793-6 ISBN 0-07-181793-X ISBN 978-0-07-181794-3 ISBN 0-07-181794-8
T.17260
UKD: 330.322.5=111