RRisk-return analysisRisk-return analysisde Harry Max MarkowitzMateriasInvestment analysisMathematical modelsInvestmentsPortfolio managementRisk managementEdiciones (1)Risk-return analysis (2014)McGraw-Hill Education · inglés · ISBN 9780071817936Más obras de Harry Max MarkowitzMean-variance analysis in portfolio choice and capital markets1987PPortfolio selectionPortfolio selection1959PPortfolio selectionPortfolio selection1959