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Previews available in: English
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Investments -- Mathematical models., Risk.Showing 1 featured edition. View all 0 editions?
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Risk, return, and equilibrium: a general single-period theory of asset selection and capital-market equilibrium.
1970, MIT Press
in English
0262190710 9780262190718
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Edition Notes
Bibliography: p. [142]-143.
A revision of the author's thesis, Massachusetts Institute of Technology, 1968.
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- Created May 22, 2020
- 10 revisions
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August 17, 2024 | Edited by ImportBot | import existing book |
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