00972nam0 22002531i 450 RML023637120231121125702.020121121d1992 ||||0itac50 baitaitz01i xxxe z01nMean-variance analysis in portfolio choice and capital marketsHarry M. MarkowitzOxford Blackwell 1992xi,387 p.fig.23 cmMARKOWITZ, Harry M.RMLV150830103676ITIT-0120121121IT-FR0098 Biblioteca Area Giuridico EconomicaFR0098 RML0236371Biblioteca Area Giuridico Economica 53TER 332/410 53VM 0000050085 VM barcode:ECO001559. - Inventario:1893. - Fondo:Sala consultazioneVMA 1994121920121204 53Mean-variance analysis in portfolio choice and capital markets695863UNICAS