Risk, return, and equilibrium; a general single-period theory of asset selection and capital-market equilibrium.
Saved in:
| Main Author: | |
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| Format: | Book |
| Language: | English |
| Published: |
Cambridge, Mass.,
MIT Press
[1970]
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| Subjects: |
CARM 1 Store
| Call Number: |
A2:AK30B0 B05532 |
|---|---|
| Copy 1 | Available Place a Hold |