MARKOWITZ, Harry M.
Mean-Variance in Portfolio Choice and Capital Markets.
Oxford: Blackwell , 1987.
$950.00
Out of Stock
Item Number: RRB-1300
+$450
First Edition of this quintessential work, which presents a comprehensive account of the general mean-variance portfolio analysis and illustrate its usefulness in the practice of portfolio management and the theory of capital markets. Octavo. Original blue Cloth with gilt titles to the spine. Fine in a near fine dust jacket. Inscribed by the author.
Mean-Variance in Portfolio Choice and Capital Markets.
$950.00
Out of Stock
