| 000 | 00944nam a2200277 a 4500 | ||
|---|---|---|---|
| 005 | 20250914012741.0 | ||
| 008 | 981208s1987 xxka bi 001 0 eng | ||
| 020 | _a0631178546 | ||
| 039 | 9 |
_a201603280931 _blan _y08-18-1999 _zload |
|
| 040 | _dUKM | ||
| 090 | _aHG4529.5.M37 | ||
| 090 |
_aHG4529.5 _b.M37 |
||
| 100 | 1 | _aMarkowitz, H. Harry, 1927- | |
| 245 | 1 | 0 |
_aMean-variance analysis in portfolio choice and capital markets / _cHarry M. Markowitz. |
| 260 |
_aOxford : _bBasil Blackwell, _c1987. |
||
| 300 |
_axi, 387 p. : _bill. ; _c24 cm. |
||
| 504 | _aIncludes index and bibliography : p. 369-374. | ||
| 650 | 0 |
_aPortfolio management _xMathematical models. |
|
| 650 | 0 |
_aCapital market _xMathematical models. |
|
| 907 |
_a.b11429550 _b2021-05-28 _c2019-11-12 |
||
| 942 |
_c01 _n0 _kHG4529.5.M37 |
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| 914 | _avtls000148246 | ||
| 991 | _aFakulti Ekonomi | ||
| 998 |
_at _b1999-05-08 _cm _da _feng _gxxk _y0 _z.b11429550 |
||
| 999 |
_c144635 _d144635 |
||