Mean-variance analysis in portfolio choice and capital markets / Harry M. Markowitz
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| | | | Mean-variance analysis in portfolio choice and capital markets. - Oxford , 1987. | xi, 387 p. : ill. ; 24 cm. | Includes index. | ISBN 0631153810. | | 1. Portfolio management - Mathematical models 2. Capital market - Mathematical models.I. Title | | Library : UiTM Shah Alam |
| Accn No. | Item Status | Add Id | Location | SMD | Item Category | 256528 | Shelf | | PTAR KAMPUS PUNCAK ALAM(PPA) | BOOK | ret | 256529 | Withdrawn | | PERPUSTAKAAN TUN ABDUL RAZAK(P1) | BOOK | RAK TERBUKA (OPEN SHELVES) | 256530 | Withdrawn | | PERPUSTAKAAN PENGURUSAN & PERNIAGAAN TAR(P2) | BOOK | RAK TERBUKA (OPEN SHELVES) | 256531 | Withdrawn | | PTAR KAMPUS PUNCAK ALAM(PPA) | BOOK | RAK TERBUKA (OPEN SHELVES) | 256532 | Shelf | | PERPUSTAKAAN UNDANG-UNDANG TAR(PUU) | BOOK | ret |
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