9 books • 3 series
Risk-Return Analysis Volume 3
Risk-Return Analysis, Volume 2: The Theory and Practice of Rational Investing
Equity Valuation and Portfolio Management
The Flaw of Averages
Harry Markowitz
The Theory and Practice of Investment Management Workbook (Frank J. Fabozzi, #136)
Mean-variance Analysis in Portfolio Choice and Capital Markets (Frank J. Fabozzi, #66)
Portfolio Selection (Cowles Foundation Monographs) (Cowles Foundation Monograph)
Simscript