An edition of Risk, return, and equilibrium (1970)

Risk, return, and equilibrium

a general single-period theory of asset selection and capital-market equilibrium.

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Last edited by ImportBot
August 17, 2024 | History
An edition of Risk, return, and equilibrium (1970)

Risk, return, and equilibrium

a general single-period theory of asset selection and capital-market equilibrium.

  • 2 Want to read

This edition doesn't have a description yet. Can you add one?

Publish Date
Publisher
MIT Press
Language
English
Pages
150

Buy this book

Previews available in: English

Book Details


Edition Notes

Bibliography: p. [142]-143.
A revision of the author's thesis, Massachusetts Institute of Technology, 1968.

Published in
Cambridge, Mass

Classifications

Dewey Decimal Class
332.6/01/51
Library of Congress
HG4539 .S77 1970, HG4539

The Physical Object

Pagination
150 p.
Number of pages
150

ID Numbers

Open Library
OL4451356M
Internet Archive
RiskReturn_00_Ston
ISBN 10
0262190710
LCCN
79113728
OCLC/WorldCat
109895
Digital Object Identifier (DOI)
10.1604/9780262190718
Goodreads
4565945

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History

Download catalog record: RDF / JSON
August 17, 2024 Edited by ImportBot import existing book
October 24, 2019 Edited by Brittany Bunk Added new cover
December 9, 2018 Edited by ImportBot import existing book
January 26, 2018 Edited by ImportBot import new book
December 10, 2009 Created by WorkBot add works page