000 00646nam a22001697a 4500
005 20120807135925.0
008 120627t xxu||||| |||| 00| 0 eng d
020 _a0-631-17854-6
040 _cshujon
100 _aMarkowitz, Harry M.
_9824
245 _aMean-Variance Analysis in Portfolio Choice and Capital Markets
260 _aUK
_bBlackwell Publishers
_c1992
300 _axi, 387 P.
_c30 X 21 cm.
630 _a1. Portfolio management -- Mathematical models. 2. Investment analysis -- Mathematical models.
_9825
942 _2ddc
_cBK
952 _70
_p004955
_40
_00
_2ddc
_buiu-lib1
_yBK
_10
_o332.6
_d2012-06-27
_auiu-lib1
999 _c8207
_d8207