

An edition of Portfolio theory and capital markets (1970)
By Sharpe, William F.
Publish Date
1970
Publisher
McGraw-Hill
Language
eng
Pages
316
Description:
Part I covers procedures for selecting investments: a set of rules for the intelligent selection of investments under conditions of risk. Part II deals with models of capital markets based on the assumption that investors act in accordance with the principles describ in Part I and Part III.