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Harry M Markowitz

Harry M MarkowitzHarry M. Markowitz is a Nobel Laureate and the father of Modern Portfolio Theory. He divides his time between consulting and teaching as an adjunct professor at the Rady School of Management at the University of California at San Dieo. Read More Read Less

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1.
Asset Allocation48 % NR
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Hardback
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16 Sep 2021
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English
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2.
The Flaw of Averages34 % NR
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₹2,437
₹1,608
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Paperback
Release:
13 Apr 2012
Language:
English
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3.
Portfolio SelectionNR
4.0 (15)
₹4,303
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Paperback
Release:
01 Jul 1977
Language:
English
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6.
Risk-Return Analysis Volume 3NR
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₹7,163
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22 Jul 2020
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English
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7.
The Fundamental Index32 % NR
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₹2,005
Binding:
Hardback
Release:
23 May 2008
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English
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8.
Harry Markowitz: Selected Works
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₹7,683
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Release:
04 Mar 2009
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English
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13.
Practical Financial Optimization69 % NR
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₹5,914
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Hardback
Release:
22 Jan 2008
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English
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14.
Risk-Return Analysis Volume 3
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Digital (delivered electronically)
Release:
07 Apr 2020
Language:
English
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15.
Risk-Return Analysis, Volume 2: The Theory and Practice of Rational Investing
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Digital (delivered electronically)
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27 May 2016
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English
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16.
The Fundamental Index
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Release:
18 May 2009
Language:
English
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17.
Mean-Variance Analysis in Portfolio Choice and Capital Markets
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Hardback
Release:
29 Oct 1987
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18.
Mean-variance Analysis in Portfolio Choice and Capital Markets
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Release:
25 Oct 1990
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19.
The Flaw of Averages
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13 May 2009
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20.
The Flaw of Averages
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Release:
03 Jun 2009
Language:
English
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