000 01095cam a2200313 i 4500
001 17740281
003 PILC
005 20150805140508.0
008 130516s2014 nyua b 001 0 eng
010 _a 2013018660
020 _a9780071817936 (alk. paper)
020 _a007181793X (alk. paper)
040 _aDLC
_beng
_cDLC
_dDLC
_erda
042 _apcc
050 0 0 _aHG 4529
_b.M375 2014
082 0 0 _a332.6
100 1 _aMarkowitz, Harry M.
_q(Harry),
_d1927-
245 1 0 _aRisk-return analysis
_nVolume I :
_bthe theory and practice of rational investing /
_cby Harry Markowitz with Kenneth Blay.
260 _aNew York :
_bMcGraw-Hill,
_c2014.
300 _axxxvi, 230 pages :
_billustrations ;
_c24 cm
500 _aIncludes bibliographical references and index.
650 0 _aInvestment analysis.
650 0 _aInvestments
_xMathematical models.
650 0 _aPortfolio management.
700 1 _aBlay, Kenneth.
906 _a7
_bcbc
_corignew
_d1
_eecip
_f20
_gy-gencatlg
942 _2lcc
_cBK
_kFOR
999 _c288335
_d288335