Harry Markowitz: Rozdiel medzi revíziami

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* {{cite journal |author=Markowitz, H.M. |title=The Utility of Wealth |journal=The Journal of Political Economy ([[Cowles Foundation]] Paper 57) |year=1952 |month=April |volume=LX |issue=2 |pages=151–158 |url=http://cowles.econ.yale.edu/P/cp/p00b/p0057.pdf}}
* {{cite journal |author=Markowitz, H.M. |title=The Elimination Form of the Inverse and Its Application to Linear Programming |journal=Management Science |year=1957 |month=April |volume=3 |issue=3 |pages=255–269 |doi=10.1287/mnsc.3.3.255}}
* {{cite book |author=Markowitz, H.M. |title=Portfolio Selection: Efficient Diversification of Investments |year=1959 |publisher=John Wiley & Sons |location=New York |url=http://cowles.econ.yale.edu/P/cm/m16/index.htm}} (Reprinted by Yale University Press, 1970, ISBN 978-0-300-01372-6; 2<sup>nd</sup>2nd ed. Basil Blackwell, 1991, ISBN 978-1-55786- 108-5)
* {{cite book |author=Markowitz, H.M. |editor1-first=Jack |editor1-last=Belzer |editor2-first=Albert G. |editor2-last=Holzman |editor3-first=Allen |editor3-last=Kent |title="SIMSCRIPT", Encyclopedia of Computer Science and Technology |volume=13 |date=1 October 1979|publisher=Marcel Dekker |location=New York and Basel |isbn=978-082-472-263-0 |pages=516}}
* {{cite journal |author=Markowitz, H.M. and E. van Dijk |title=Single-Period Mean-Variance Analysis in a Changing World |journal=Financial Analysts Journal |year=2003 |month=March/April |volume=59 |issue=2 |pages=30–44 |doi=10.2469/faj.v59.n2.2512}}