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Portfolio Theory and Capital Markets
William F. Sharpe
出版
McGraw-Hill
, 1970
主題
Business & Economics / Decision-Making & Problem Solving
Business & Economics / Finance / General
Business & Economics / Investments & Securities / General
Business & Economics / Economics / General
ISBN
0070564876
9780070564879
URL
http://books.google.com.hk/books?id=41rHAAAAIAAJ&hl=&source=gbs_api
註釋
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.