|
| Books 1 - 10 of 22 | Previous | Next |


 |
 |  | The Fundamental Index: A Better Way to Invest by Robert D. Arnott, Jason C. Hsu, John M. West, Harry M. Markowitz (Foreword) Hardcover, 336 Pages, Published 2008 by John Wiley & Sons
Compare Prices | Add to Wish List | Set Price Alert |


 |
 |  | The Theory and Practice of Investment Management (Frank J. Fabozzi Series) by Frank J. Fabozzi (Editor), Harry M. Markowitz (Editor) Hardcover, 912 Pages, Published 2002 by John Wiley & Sons
Compare Prices | Add to Wish List | Set Price Alert |


 |
 |  | Mean-Variance Analysis in Portfolio Choice and Capital Markets (Frank J. Fabozzi Series) (Revised Edition) by Harry M. Markowitz, G. Peter Todd, William F. Sharpe (Foreword) Hardcover, 399 Pages, Published 2000 by John Wiley & Sons, Revised Edition
Compare Prices | Add to Wish List | Set Price Alert |


 |
 |  | Portfolio Selection: Efficient Diversification of Investments (2nd Edition) by Harry M. Markowitz Hardcover, 400 Pages, Published 1991 by WileyBlackwell, 2nd Edition
Compare Prices | Add to Wish List | Set Price Alert |


 |
 |  | Theory and Practice of Investment Management Workbook: Online Instructor's Manual by Harry M. Markowitz, Frank J. Fabozzi, Leonard Kostovetsky Unknown Binding, Published 2003 by John Wiley & Sons Inc
Compare Prices | Add to Wish List | Set Price Alert |


 |
 |  | Simscript by Harry M. Markowitz Paperback, 138 Pages, Published 1963 by Prentice Hall
Compare Prices | Add to Wish List | Set Price Alert |


 |
 |  | Capital Ideas and Market Realities : Option Replication, Investor Behavior, and Stock Market Crashes: Option Replication, Investor Behavior and Stock Market Crashes by Bruce I. Jacobs, Harry M. Markowitz (Foreword) Paperback, 432 Pages, Published 1999 by WileyBlackwell
Compare Prices | Add to Wish List | Set Price Alert |


 |
 |  | The likelihood of various stock market hypotheses: An analysis for Bayesians (Working papers series / Bernard M. Baruch College. School of Business and Public Administration) by Harry Max Markowitz Unknown Binding, Published 1988 by School of Business and Public Administration, Bernard M. Baruch College of the City University of New York
Compare Prices | Add to Wish List | Set Price Alert |


 |
 |  | Moderne Portfoliotheorie nach Harry M. Markowitz by Achim Schwichtenberg Paperback, Published 2007 by Grin Verlag
Compare Prices | Add to Wish List | Set Price Alert |


 |
 |  | Bold Thinking on Investment Management: The FAJ 60th Anniversary Anthology by Keith Ambachtsheer; Robert D. Arnott; Clifford S. Asness; Peter L. Bernstein; John C. Bogle; Thomas A. Bowman; Gary P. Brinson; Abby Joseph Cohen; Aswath Damodaran; Jeffrey J. Diermeier; Charles D. Ellis; Richard M. Ennis; Don Ezra; Frank J. Fabozzi; David I. Fisher; Martin S. Fridson; Clive W.J. Granger; Richard C. Grinold; William H. Gross; J. Parker Hall III; Campbell Harvey; L. Randolph Hood; Marianne M. Jennings; Irving Kahn; Henry Kaufman; Dean LeBaron; Martin L. Leibowitz; Harry M. Markowitz; Paul A. McCulley; Edmund A. Mennis; John J. Nagorniak; Jeremy J. Siegel; Meir Statman; Jack L. Treynor Hardcover, Published 2005 by CFA Institute
Compare Prices | Add to Wish List | Set Price Alert |


 |
| Books 1 - 10 of 22 | Previous | Next |