Mean-Variance Analysis in Portfolio Choice and Capital Markets

Mean-Variance Analysis in Portfolio Choice and Capital Markets image
ISBN-10:

0631178546

ISBN-13:

9780631178545

Released: Nov 01, 1990
Publisher: Blackwell Pub.
Format: Paperback, 0 pages
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Description:

The purpose of this book is two-fold - first, to present a comprehensive and accessible account of the general mean-variance portfolio analysis and second, to illustrate its usefulness in the practice of portfolio management and the theory of capital markets. The work is aimed at professional financial economists and operational research scholars, graduate students in courses in mean-variance analysis and advanced portfolio theory.

























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