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Portfolio Selection TORIo Harry markowitz The Journal of finance, Vol. 7, No. 1.(Mar, 1952), pp. 77-91 Stable url: http://links.jstor.org/sici?sici=0022-1082%028195203%297%03a1%3c77903aps%3e2.0.c0%3b2-1 The Journal of finance is currently published by American Finance Association Your use of the JSTOR archive indicates your acceptance of JSTOR's Terms and Conditions of Use, available at http://www.jstor.org/about/terms.htmlJstOr'sTermsandConditionsofUseprovidesinpartthatunlessyou have obtained prior permission, you may not download an entire issue of a journal or multiple copies of articles, and you may use content in the JSTOR archive only for your personal, non-commercial use Please contact the publisher regarding any further use of this work. Publisher contact information may be obtained at http://wwwjstor.org/journals/afina.html Each copy of any part of a JSTOR transmission must contain the same copy tice that appears on the screen or printed page of such transmission jStOR is an independent not-for-profit organization dedicated to creating and preserving a digital archive of scholarly journals. For more information regarding JSTOR, please contact support@jstor. org ttp://www.jstor.org Thu mar906:56:212006
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