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Mathematical finance / Data analysis / Financial risk / Summary statistics / Investment / Diversification / Standard deviation / Variance / Harry Markowitz / Statistics / Financial economics / Economics


Portfolio Selection Harry Markowitz The Journal of Finance, Vol. 7, No. 1. (Mar., 1952), pp[removed]Stable URL: http://links.jstor.org/sici?sici=[removed]%[removed]%297%3A1%3C77%3APS%3E2.0.CO%3B2-1 The Journal of Finance
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Document Date: 2007-09-09 23:37:10


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City

New York / Cambridge / /

Company

Oxford University Press / Harvard University Press / The Rand Corporation / /

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Facility

Stable URL / /

Organization

Cowles Commission for Research / Harvard University / Oxford University / American Finance Association / Social Science Research Council / /

Person

Harry Markowitz / J. R. Hicks / V / /

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Position

author / general / mathematical treatment which removes these limitations / writer / /

PublishedMedium

Journal of Finance / The Journal of Finance / /

Technology

t-1 / alE / /

URL

http /

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