Southville International School and Colleges
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Risk-return analysis the theory and practice of rational investing / Volume I :

by Markowitz, Harry M. (Harry); Blay, Kenneth.
Type: materialTypeLabelBookPublisher: New York : McGraw-Hill, 2014Description: xxxvi, 230 pages : illustrations ; 24 cm.ISBN: 9780071817936 (alk. paper); 007181793X (alk. paper).Subject(s): Investment analysis | Investments -- Mathematical models | Portfolio management
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HG 4529 .M375 2014 (Browse shelf) Available C19656
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HG 4521 .T944 2013 Invest to win : HG 4529.5 .B877 2014 Analysis of investments and management of portfolios / HG 4529.5 .Ox94 2012 Oxford handbook of quantitative asset management / HG 4529 .M375 2014 Risk-return analysis HG 4529 .R682 2014 Technical analysis for dummies, 3rd edition / HG 4534 S76 2024 Investment banks, hedge funds, and private equity

Includes bibliographical references and index.

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