Portfolio theory and capital markets

LDR 01090Qam a2200361 a 4500
001 004494509
003 MiAaHDL
005 20220215000000.0
006 m d
007 cr bn ---auaua
008 700730s1970 nyu b 001 0 eng
010 ‡a76105423
035 ‡asdr-ucsc.b17073182
040 ‡aDLC ‡cDLC ‡dCU-SC
090 ‡aHG173.S5
035 ‡a(OCoLC)85975
100 1 ‡aSharpe, William F.
245 1 0 ‡aPortfolio theory and capital markets ‡c[by] William F. Sharpe.
260 ‡aNew York, ‡bMcGraw-Hill ‡c[1970]
300 ‡axvi, 316 p. ‡billus. ‡c24 cm.
490 0 ‡aMcGraw-Hill series in finance
538 ‡aMode of access: Internet.
650 0 ‡aRisk.
650 0 ‡aInvestments.
650 0 ‡aFinance.
650 0 ‡aCapital.
CID ‡a004494509
DAT 0 ‡a20111212000000.0 ‡b20220215000000.0
DAT 1 ‡a20220215205501.0 ‡b2023-05-02T17:46:11Z
CAT ‡aSDR-UCSC ‡dIII - MILLENIUM ‡lprepare.pl-004-008
FMT ‡aBK
HOL ‡0sdr-ucsc.b17073182 ‡auc1 ‡bSDR ‡cUCSC ‡puc1.32106016856434 ‡sUC ‡1.b17073182
974 ‡bUC ‡cUCSC ‡d20230502 ‡sgoogle ‡uuc1.32106016856434 ‡y1970 ‡ric ‡qbib ‡tUS bib date1 >= 1929