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Harry M. Markowitz, Kenneth Blay

Published by McGraw-Hill Education - Europe, United States (2013)

ISBN 10: 007181793X ISBN 13: 9780071817936

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About this Item: McGraw-Hill Education - Europe, United States, 2013. Hardback. Condition: New. Language: English. Brand new Book. The two most important words Harry Markowitz ever wrote are "portfolio selection." In 1952, when everyone in the stock market was looking for the next hot stock, as a doctoral candidate, he proposed to look at many, diverse stocks--a portfolio. He laid the first cornerstone of Modern Portfolio Theory and defended the idea that strategic asset growth means factoring in the risk of an investment. More than 60 years later, the father of modern finance revisits his original masterpiece, describes how his theory has developed, and proves the vitality of hisrisk-return analysis in the current global economy.Risk-Return Analysis opens the door to agroundbreaking four-book series giving readers a privileged look at the personal reflections and current strategies of a luminary in finance. This first volume is Markowitz's response to what he calls the "Great Confusion" that spread when investors lost faith in the diversification benefits of MPT during the financial crisis of 2008. It demonstrates why MPT never became ineffective during the crisis, and how you can continue to reap the rewards of managed diversification into the future. Economists and financial advisors will benefit from the potent balance of theory and hard data on mean-variance analysis aimed at improving decision-making skills. Written for the academic and the practitioner withsome math skills (mostly high school algebra), this richly illustrated guide arms you with:Concrete steps to accurately select and apply the right risk measures in a given circumstanceRare surveys of a half-century of literature covering the applicability of MPTEmpirical data showing mean and riskmeasure used to maximize return in the long termPRAISE FOR RISK-RETURN ANALYSIS"Harry Markowitz invented portfolio analysis and presented the theory in his famous 1952 article and 1959 book. Nobody has greater insight into the process than Harry. No academic or practitioner can truly claim to understand portfolio analysis unless they have read this volume." -- Martin J. Gruber, Professor Emeritus and Scholar in Residence, Stern School of Business, New York University"Surveying the vast literature inspired by [Markowitz's] own 1959 book has stimulated an outpouring of ideas. He builds on the strengths and limitations of the important papers in order to come up with a position that should silence a lot of critics." -- Jack Treynor, President, Treynor Capital Management"The authors do not overlook various criticisms of the MPT, but rather address them convincingly. This excellent book is an essential reference for academics and practitioners alike." -- Haim Levy, Miles Robinson Professor of Finance, Hebrew University, Jerusalem, Israel"Markowitz's groundbreaking publications on Portfolio Selection prescribe a methodology that a rational decision-maker can follow to optimize his investment portfolio in a risky world. . . . Thischallenging new book clarifies many common misconceptions about modern portfolio theory." -- Roger C. Gibson, author of Asset Allocation and Chief Investment Officer, Gibson Capital, LLC"Contain[s] great wisdom that every economist, portfolio manager, and investor should savor page by page." -- Andrew W. Lo, Charles E. and Susan T. Harris Professor and Director, Laboratory for Financial Engineering, MIT Sloan School of Management"[Markowitz's] monumental work in the 1950s would be sufficient to qualify as a lifetime achievement for most mortals, but he keeps spouting fresh insights like lightning flashes year after year, and penetrating ever deeper into the theory, mathematics, and practice of investing." -- Martin Leibowitz, Managing Director, Global Research Strategy, Morgan Stanley"Risk-Return Analysis is a wonderful work in progress by a remarkable scholar who always has time to read what matters, who has the deepest appreciation of scientific achievement, and who has the highest aspirations for the future." -- Enterprising Investor (CFA Institute). Seller Inventory # AAZ9780071817936

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Blay, Kenneth,Markowitz, Harry

Published by McGraw-Hill Education (2013)

ISBN 10: 007181793X ISBN 13: 9780071817936

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About this Item: McGraw-Hill Education, 2013. Hardcover. Condition: Good. Item may show signs of shelf wear. Pages may include limited notes and highlighting. May include supplemental or companion materials if applicable. Access codes may or may not work. Connecting readers since 1972. Customer service is our top priority. Seller Inventory # mon0002275768

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Harry M. Markowitz, Kenneth Blay

Published by McGraw-Hill Education - Europe, United States (2013)

ISBN 10: 007181793X ISBN 13: 9780071817936

Hardcover
New

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About this Item: McGraw-Hill Education - Europe, United States, 2013. Hardback. Condition: New. Language: English. Brand new Book. The two most important words Harry Markowitz ever wrote are "portfolio selection." In 1952, when everyone in the stock market was looking for the next hot stock, as a doctoral candidate, he proposed to look at many, diverse stocks--a portfolio. He laid the first cornerstone of Modern Portfolio Theory and defended the idea that strategic asset growth means factoring in the risk of an investment. More than 60 years later, the father of modern finance revisits his original masterpiece, describes how his theory has developed, and proves the vitality of hisrisk-return analysis in the current global economy.Risk-Return Analysis opens the door to agroundbreaking four-book series giving readers a privileged look at the personal reflections and current strategies of a luminary in finance. This first volume is Markowitz's response to what he calls the "Great Confusion" that spread when investors lost faith in the diversification benefits of MPT during the financial crisis of 2008. It demonstrates why MPT never became ineffective during the crisis, and how you can continue to reap the rewards of managed diversification into the future. Economists and financial advisors will benefit from the potent balance of theory and hard data on mean-variance analysis aimed at improving decision-making skills. Written for the academic and the practitioner withsome math skills (mostly high school algebra), this richly illustrated guide arms you with:Concrete steps to accurately select and apply the right risk measures in a given circumstanceRare surveys of a half-century of literature covering the applicability of MPTEmpirical data showing mean and riskmeasure used to maximize return in the long termPRAISE FOR RISK-RETURN ANALYSIS"Harry Markowitz invented portfolio analysis and presented the theory in his famous 1952 article and 1959 book. Nobody has greater insight into the process than Harry. No academic or practitioner can truly claim to understand portfolio analysis unless they have read this volume." -- Martin J. Gruber, Professor Emeritus and Scholar in Residence, Stern School of Business, New York University"Surveying the vast literature inspired by [Markowitz's] own 1959 book has stimulated an outpouring of ideas. He builds on the strengths and limitations of the important papers in order to come up with a position that should silence a lot of critics." -- Jack Treynor, President, Treynor Capital Management"The authors do not overlook various criticisms of the MPT, but rather address them convincingly. This excellent book is an essential reference for academics and practitioners alike." -- Haim Levy, Miles Robinson Professor of Finance, Hebrew University, Jerusalem, Israel"Markowitz's groundbreaking publications on Portfolio Selection prescribe a methodology that a rational decision-maker can follow to optimize his investment portfolio in a risky world. . . . Thischallenging new book clarifies many common misconceptions about modern portfolio theory." -- Roger C. Gibson, author of Asset Allocation and Chief Investment Officer, Gibson Capital, LLC"Contain[s] great wisdom that every economist, portfolio manager, and investor should savor page by page." -- Andrew W. Lo, Charles E. and Susan T. Harris Professor and Director, Laboratory for Financial Engineering, MIT Sloan School of Management"[Markowitz's] monumental work in the 1950s would be sufficient to qualify as a lifetime achievement for most mortals, but he keeps spouting fresh insights like lightning flashes year after year, and penetrating ever deeper into the theory, mathematics, and practice of investing." -- Martin Leibowitz, Managing Director, Global Research Strategy, Morgan Stanley"Risk-Return Analysis is a wonderful work in progress by a remarkable scholar who always has time to read what matters, who has the deepest appreciation of scientific achievement, and who has the highest aspirations for the future." -- Enterprising Investor (CFA Institute). Seller Inventory # AAZ9780071817936

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Markowitz, Harry; Blay, Kenneth

Published by McGraw-Hill Education (2013)

ISBN 10: 007181793X ISBN 13: 9780071817936

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About this Item: McGraw-Hill Education, 2013. Condition: Good. A+ Customer service! Satisfaction Guaranteed! Book is in Used-Good condition. Pages and cover are clean and intact. Used items may not include supplementary materials such as CDs or access codes. May show signs of minor shelf wear and contain limited notes and highlighting. Seller Inventory # 007181793X-2-4

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Harry M. Markowitz, Kenneth Blay

Published by McGraw-Hill Professional 2013-10-20 (2013)

ISBN 10: 007181793X ISBN 13: 9780071817936

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About this Item: McGraw-Hill Professional 2013-10-20, 2013. Hardcover. Condition: New. Seller Inventory # 6666-GRD-9780071817936

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Blay, Kenneth,Markowitz, Harry

Published by McGraw-Hill Education (2013)

ISBN 10: 007181793X ISBN 13: 9780071817936

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About this Item: McGraw-Hill Education, 2013. Hardcover. Condition: New. BRAND NEW ** SUPER FAST SHIPPING FROM UK WAREHOUSE ** 30 DAY MONEY BACK GUARANTEE. Seller Inventory # mon0004341387

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Harry Markowitz, Kenneth Blay

Published by McGraw-Hill (2013)

ISBN 10: 007181793X ISBN 13: 9780071817936

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About this Item: McGraw-Hill, 2013. Hardcover. Condition: Good. 1. Seller Inventory # SONG007181793X

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Harry M. Markowitz, Kenneth A. Blay

Published by börsenbuch verlag, Kulmbach (2014)

ISBN 10: 3864701791 ISBN 13: 9783864701795

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About this Item: börsenbuch verlag, Kulmbach, 2014. Hardcover. Condition: Sehr gut. Dust Jacket Condition: Sehr gut. 1. Auflage. Sprache Deutsch. Sehr guter sauberer Zustand, ungelesen Size: 224 Seiten, 22x14,5 cm, 540g. Buch. Seller Inventory # 041840

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Markowitz, Harry M.; Blay, Kenneth

Published by McGraw-Hill Education (2013)

ISBN 10: 007181793X ISBN 13: 9780071817936

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About this Item: McGraw-Hill Education, 2013. Hardcover. Condition: New. Seller Inventory # DADAX007181793X

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Markowitz, Harry; Blay, Kenneth

Published by McGraw-Hill Education (2013)

ISBN 10: 007181793X ISBN 13: 9780071817936

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About this Item: McGraw-Hill Education, 2013. Condition: UsedAcceptable. book. Seller Inventory # M007181793X_4

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Harry M. Markowitz, Kenneth Blay

Published by McGraw-Hill Professional 2013-10-20 (2013)

ISBN 10: 007181793X ISBN 13: 9780071817936

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About this Item: McGraw-Hill Professional 2013-10-20, 2013. Hardcover. Condition: New. Seller Inventory # 6666-ING-9780071817936

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Markowitz, Harry/ Blay, Kenneth

Published by McGraw-Hill (2013)

ISBN 10: 007181793X ISBN 13: 9780071817936

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From: Revaluation Books (Exeter, United Kingdom)

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About this Item: McGraw-Hill, 2013. Hardcover. Condition: Brand New. 1st edition. 208 pages. 9.50x6.50x1.25 inches. In Stock. Seller Inventory # __007181793X

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Markowitz, Harry M.; Blay, Kenneth A.

Published by Börsenbuchverlag (2014)

ISBN 10: 3864701791 ISBN 13: 9783864701795

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About this Item: Börsenbuchverlag, 2014. Befriedigend/Good: Durchschnittlich erhaltenes Buch bzw. Schutzumschlag mit Gebrauchsspuren, aber vollständigen Seiten. / Describes the average WORN book or dust jacket that has all the pages present. Seller Inventory # M03864701791-G

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Markowitz, Harry M.; Blay, Kenneth A.

Published by Börsenbuchverlag (2014)

ISBN 10: 3864701791 ISBN 13: 9783864701795

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About this Item: Börsenbuchverlag, 2014. Gut/Very good: Buch bzw. Schutzumschlag mit wenigen Gebrauchsspuren an Einband, Schutzumschlag oder Seiten. / Describes a book or dust jacket that does show some signs of wear on either the binding, dust jacket or pages. Seller Inventory # M03864701791-V

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Risk-Return Analysis: The Theory and Practice of: Markowitz, Harry M.

Markowitz, Harry M. with Kenneth A. Blay

Published by Mcgraw-Hill Education, New York (2014)

ISBN 10: 007181793X ISBN 13: 9780071817936

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About this Item: Mcgraw-Hill Education, New York, 2014. Hardcover. Condition: Very Good. Dust Jacket Condition: very good. First edition. Signed without personalization by Nobel Prize Winner Markowitz on the front free-endpaper, "Best wishes, Harry Markowitz." A very good copy 1st edition in dustjacket. Minor wear at the spine tips - a clean, straight copy of this volume with solid binding. Unclipped jacket is also very good with matching wear at the spinetips and a crease to the rear flap. 230 pp., indexed, nicely signed by the father of modern portfolio investing. Seller Inventory # 1462

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Markowitz, Harry M.; Blay, Kenneth

Published by McGraw-Hill Education

ISBN 10: 007181793X ISBN 13: 9780071817936

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About this Item: McGraw-Hill Education. Hardcover. Condition: Good. 007181793X. Seller Inventory # 9780071817936

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Results (1 - 16) of 16