£62.00
FREE Delivery in the UK.
Only 1 left in stock (more on the way).
Dispatched from and sold by Amazon. Gift-wrap available.
Portfolio Theory and Mana... has been added to your Basket
Have one to sell?
Flip to back Flip to front
Listen Playing... Paused   You're listening to a sample of the Audible audio edition.
Learn more
See all 2 images

Portfolio Theory and Management Hardcover – 7 Mar 2013


See all formats and editions Hide other formats and editions
Amazon Price
New from Used from
Kindle Edition
"Please retry"
Hardcover
"Please retry"
£62.00
£9.07 £23.71
Note: This item is eligible for click and collect. Details
Pick up your parcel at a time and place that suits you.
  • Choose from over 13,000 locations across the UK
  • Prime members get unlimited deliveries at no additional cost
How to order to an Amazon Pickup Location?
  1. Find your preferred location and add it to your address book
  2. Dispatch to this address when you check out
Learn more

Top Deals in Books
See the latest top deals in Books. Shop now
£62.00 FREE Delivery in the UK. Only 1 left in stock (more on the way). Dispatched from and sold by Amazon. Gift-wrap available.
click to open popover

Enter your mobile number or email address below and we'll send you a link to download the free Kindle App. Then you can start reading Kindle books on your smartphone, tablet, or computer - no Kindle device required.

  • Apple
  • Android
  • Windows Phone

To get the free app, enter your mobile phone number.



Top Deals in Books
See the latest top deals in Books. Shop now

Product details

Product Description

Review

Portfolio Theory and Management is a comprehensive survey of modern financial theory and practice. It contains thirty articles organized into seven general areas, written by authorities in their respective fields. It would be an excellent 'Readings' book for a course on modern finance, and an equally excellent source-book for professional academics and practitioners in the field. (Harry Markowitz, Rady School of Management, University of California)

About the Author

HKB: Professor of Finance and Kogod Research Professor, American University; GF: Samuel P. Black III Professor of Insurance and Risk Management, Pennsylvania State University

Customer Reviews

There are no customer reviews yet.
5 star
4 star
3 star
2 star
1 star


Feedback