Risiko-Ertrags-Analyse : Theorie und Praxis des rationalen Investierens
Alternative title: | Risikoertragsanalyse |
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Year of publication: |
2014-
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Authors: | Markowitz, Harry |
Publisher: |
Kulmbach : Börsenbuchverl. |
Subject: | Risiko-Ertrags-Verhältnis | Risk-return tradeoff | Portfolio-Management | Portfolio selection | Finanzanalyse | Financial analysis | Theorie | Theory |
Published items: |
1 hits in ECONIS - Online Catalogue of the ZBW
|
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Risk-return analysis : the theory and practice of rational investing
Markowitz, Harry, (2014)
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The price of factors and the implications for active investing
Fraser-Jenkins, Inigo, (2017)
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Testing asset pricing models with hedge fund data and hedge fund performance
Ballis-Papanastasiou, Panagiotis, (2016)
- More ...
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Markowitz, Harry, (2010)
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Fong, H. Gifford, (2020)
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The existence and persistence of financial anomalies : What have you done for me lately?
Guerard, John, (2018)
- More ...