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Equity Valuation and Portfolio Management(1st Edition) (Frank J Fabozzi Series) by Frank J. Fabozzi, Harry M. Markowitz Hardcover, 576 Pages, Published 2011 by Wiley ISBN-13: 978-0-470-92991-9, ISBN: 0-470-92991-X |
Risk-Return Analysis(1st Edition) The Theory and Practice of Rational Investing (Volume One) (Business Books) by Harry M. Markowitz, Kenneth A. Blay, Blay Markowitz Hardcover, 272 Pages, Published 2013 by Mcgraw-Hill Education ISBN-13: 978-0-07-181793-6, ISBN: 0-07-181793-X |
The Theory and Practice of Investment Management(2nd Edition) Asset Allocation, Valuation, Portfolio Construction, and Strategies (Frank J Fabozzi Series) by Frank J. Fabozzi, Harry M. Markowitz Hardcover, 704 Pages, Published 2011 by Wiley ISBN-13: 978-0-470-92990-2, ISBN: 0-470-92990-1 |
The Founders of Modern Finance(1st Edition) Their Prize-Winning Concepts and 1990 Nobel Lectures by Harry M. Markowitz, Merton H. Miller, William F. Sharpe, H. Markowitz Paperback, 198 Pages, Published 1991 by The Research Foundation Of Icfa (Cfa Institute) ISBN-13: 978-0-943205-10-6, ISBN: 0-943205-10-7 |
Portfolio Selection(2nd Edition) Efficient Diversification of Investments by Harry M. Markowitz Hardcover, 402 Pages, Published 1991 by Wiley Illustrated ISBN-13: 978-1-55786-108-5, ISBN: 1-55786-108-0 |
The Theory and Practice of Investment Management(1st Edition) (Frank J. Fabozzi Series) by Frank J. Fabozzi, Harry M. Markowitz, Peter I. Bernstein Hardcover, 912 Pages, Published 2002 by Wiley ISBN-13: 978-0-471-22899-8, ISBN: 0-471-22899-0 |
Wirtschafts-Und Sozialgeschichte des Weltkrieges Ser.(Updated) Portfolio Selection : Efficient Diversification of Investments by Harry M. Markowitz Hardcover, 368 Pages, Published 1971 by Yale University Press ISBN-13: 978-0-300-01369-6, ISBN: 0-300-01369-8 |
Portfolio Selection(Updated) Efficient Diversification of Investments (Cowles Foundation Monograph: No. 16) by Harry M. Markowitz Paperback, 368 Pages, Published 1971 by Yale University Press ISBN-13: 978-0-300-01372-6, ISBN: 0-300-01372-8 |
The Theory and Practice of Investment Management Workbook(1st Edition) Step-by-Step Exercises and Tests to Help You Master The Theory and Practice of Investment Management (Frank J. Fabozzi Series) by Harry M. Markowitz, Leonard Kostovetsky, Frank J. Fabozzi Paperback, 420 Pages, Published 2004 by Wiley ISBN-13: 978-0-471-48950-4, ISBN: 0-471-48950-6 |
The Flaw of Averages(1st Edition) Why We Underestimate Risk in the Face of Uncertainty by Sam L. Savage, Jeff Danziger, Harry M. Markowitz Paperback, 416 Pages, Published 2012 by Wiley ISBN-13: 978-1-118-07375-9, ISBN: 1-118-07375-4 |
The Fundamental Index(1st Edition) A Better Way to Invest by Robert D. Arnott, John M. West, Jason C. Hsu, Harry M. Markowitz, John C. Hsu, Hsu Arnott Hardcover, 336 Pages, Published 2008 by Wiley ISBN-13: 978-0-470-27784-3, ISBN: 0-470-27784-X |
Capital Ideas and Market Realities(1st Edition) Option Replication, Investor Behavior, and Stock Market Crashes by Bruce I. Jacobs, Harry M. Markowitz Paperback, 424 Pages, Published 1999 by John Wiley & Sons Ilustrado ISBN-13: 978-0-631-21555-4, ISBN: 0-631-21555-7 |
Bold Thinking on Investment Management The FAJ 60th Anniversary Anthology by Keith Ambachtsheer, Robert D. Arnott, Clifford S. Asness, Peter L. Bernstein, John C. Bogle, Thomas A. Bowman, Gary P. Brinson, Abby Joseph Cohen, Aswath Damodaran, Jeffrey J. Diermeier, Charles D. Ellis, Richard M. Ennis, Don Ezra, Frank J. Fabozzi, David I. Fisher, Martin S. Fridson, Richard C. Grinold, William H. Gross, Campbell Harvey, L. Randolph Hood, Marianne M. Jennings, Irving Kahn, Henry Kaufman, Dean Lebaron, Martin L. Leibowitz, Harry M. Markowitz, Paul A. Mcculley, Edmund A. Mennis, John J. Nagorniak, Jeremy J. Siegel, Meir Statman, Jack L. Treynor, Rodney N. Sullivan, C. Grange Hardcover, 320 Pages, Published 2005 by Cfa Institute ISBN-13: 978-1-932495-32-4, ISBN: 1-932495-32-0 |
Capital Ideas and Market Realities(1st Edition) Option Replication, Investor Behavior, and Stock Market Crashes by Bruce I. Jacobs, Harry M. Markowitz Hardcover, 432 Pages, Published 1999 by Wiley-Blackwell ISBN-13: 978-0-631-21554-7, ISBN: 0-631-21554-9 |
Index Funds The 12-Step Program for Active Investors by Mark T. Hebner, Harry M. Markowitz Hardcover, 392 Pages, Published 2006 by Ifa Publishing Inc ISBN-13: 978-0-9768023-0-3, ISBN: 0-9768023-0-9 |
Mean-Variance Analysis in Portfolio Choice and Capital Markets(1st Edition) by Harry M. Markowitz Hardcover, 400 Pages, Published 1987 by Blackwell Pub ISBN-13: 978-0-631-15381-8, ISBN: 0-631-15381-0 |
Risk-Return Analysis Volume 3 by Harry M. Markowitz 224 Pages, Published 2020 by Mcgraw Hill Professional ISBN-13: 978-0-07-181833-9, ISBN: 0-07-181833-2 |
Risk-Return Analysis, Volume 2(1st Edition) The Theory and Practice of Rational Investing (Business Books) by Harry M. Markowitz Hardcover, 400 Pages, Published 2016 by Mcgraw-Hill Education ISBN-13: 978-0-07-183009-6, ISBN: 0-07-183009-X |
Risk-Return Analysis The Theory and Practice of Rational Investing (Volume One) by Harry M. Markowitz, Kenneth Blay 208 Pages, Published 2013 by Mcgraw Hill Professional ISBN-13: 978-0-07-181794-3, ISBN: 0-07-181794-8 |
The Theory and Practice of Investment Management Asset Allocation, Valuation, Portfolio Construction, and Strategies by Frank J. Fabozzi, Harry M. Markowitz, Ph.D. 704 Pages, Published 2011 by John Wiley & Sons ISBN-13: 978-1-118-06756-7, ISBN: 1-118-06756-8 |
Harry Markowitz