
Mean-Variance Analysis in Portfolio Choice and Capital Markets - Hardcover
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Availability:In StockContributor:Harry M. Markowitz, G. Peter Todd, William F. Sharpe (Foreword by)Series:Frank J. Fabozzi #66Publish date:2000-02-15Pages:400
Language:EnglishPublisher:WileyISBN-13:9781883249755ISBN-10:1883249759UPC:9781883249755Book Category:Business & Economics, MathematicsBook Subcategory:Investments & Securities, AppliedSize:9.00 x 6.00 x 1.00 inchesWeight:1.6623Product ID:SC7NH863KJ
Language:EnglishPublisher:WileyISBN-13:9781883249755ISBN-10:1883249759UPC:9781883249755Book Category:Business & Economics, MathematicsBook Subcategory:Investments & Securities, AppliedSize:9.00 x 6.00 x 1.00 inchesWeight:1.6623Product ID:SC7NH863KJ
Publisher: Wiley
Edition
Revised Edition
Contributor(s)
Harry M. Markowitz, G. Peter Todd, William F. Sharpe (Foreword by)
Author
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