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Portfolio theory and investment management
Dobbins, Richard, (1983)
Theory of portfolio selection
Ryan, Terence M., (1978)
Portfolio theory, 25 years after : essays in honor of Harry Markowitz
Elton, Edwin J., (1979)
Rational Expectations, the Expectations Hypothesis, and Treasury Bill Yields: An Econometric Analysis
Jones, David S., (1982)
Bliss Points in Mean-Variance Portfolio Models
Jones, David S., (1981)
Rational expectations, the expectations hypothesis, and treasury bill yields : an econometric analysis