Portfolio analysis /

Bibliographic Details
Main Author: Francis, Jack Clark
Other Authors: Archer, Stephen H
Format: Book
Language:English
Published: Englewood Cliffs, N.J. : Prentice-Hall, c1971
Series:Prentice-Hall Foundations of finance series
Subjects:

MARC

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245 1 0 |a Portfolio analysis /  |c Jack Clark Francis, Stephen H. Archer. 
260 |a Englewood Cliffs, N.J. :  |b Prentice-Hall,  |c c1971 
300 |a xii, 268 p. :  |b il. 
490 0 |a Prentice-Hall Foundations of finance series 
504 |a Incluye bibliografía. 
505 0 |a Definitions and measurements: 1. Introduction -- 2. Risk, efficiency and diversification -- 3. Generating the statistical inputs for portfolio analysis -- Portfolio analysis: 4. Graphical portfolio analysis -- Implications of portfolio analysis: 5. Capital market theory -- 6. Portfolio revision -- 7. The limits of diversification -- 8. Investments funds -- 9. Beating the market -- Other issues: 10. Some elements of utility analysis -- 11. Some unanswered questions and some conclusions about portfolio analysis. -- six mathematical appendices. 
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700 |a Archer, Stephen H 
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