PORTFOLIO THEORY, 25 YEARS AFTER
By: Elton, E. J.
Contributor(s): Cruber, M. J.
Material type: BookSeries: Tims Studies In The Management Sciences, V. 11. Publisher: Amsterdam North-Holland 1979Description: viii,256.Subject(s): Investments -- Mathematical Models | Markowitz, Harry Max, 1927-DDC classification: 332.670184 | P835Item type | Current location | Collection | Call number | url | Status | Date due | Barcode | Item holds |
---|---|---|---|---|---|---|---|---|
Books | PK Kelkar Library, IIT Kanpur | COMPACT STORAGE (BASEMENT) | 332.670184 P835 (Browse shelf) | Book Request | Available | A63291 |
Total holds: 0
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332.67 M575 THE INVESTMENT DECISION | 332.67 R426p PORTFOLIO MANAGEMENT IN AN INVESTMENT GAME | 332.67 W593g GOVERNMENT RISK-SHARING IN FOREIGN INVESTMENT | 332.670184 P835 PORTFOLIO THEORY, 25 YEARS AFTER | 332.6705873 In8 INVESTMENT INFORMATION AND ADVICE | 332.67094 Ed95i INVESTMENT IN THE EUROPEAN ECONOMIC COMMUNITY | 332.670954 K848 KOTHARI'S ECONOMIC GUIDE AND `INVESTORS' HANDBOOK OF INDIA |
Essays In Honor Of Harry Markowitz
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