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