What rate of return can you "reasonably" expect?
|
1979 |
Bernstein, Peter L. |
Using portfolio composition to estimate risk
|
1979 |
Treynor, J. L. |
Warrant valuation in relation to volatility and opportunity costs
|
1979 |
Horne, James C. van |
Playing the market with charts
|
1979 |
Seligman, Daniel |
An analysis of alternative measures of investment risk
|
1979 |
Schwendiman, Carl J. |
An investorʹs guide to the index fund controversy
|
1979 |
Good, Walter R. |
Investment returns and present values
|
1979 |
Bauman, W. Scott |
Markowitz revisited
|
1979 |
Markowitz, Harry M. |
Portfolio selection
|
1979 |
Markowitz, Harry M. |
Price ratios in relation to investment results
|
1979 |
Nicholson, S. Francis |
The measurement of the volatility of common stock prices
|
1979 |
Pinches, George E. |
Risk, return and yield : New York stock exchange common stocks, 1928-1969
|
1979 |
Sharpe, William F. |
A simplified model for portfolio analysis
|
1979 |
Sharpe, William F. |
The effect of call risk on corporate bond yields
|
1979 |
Jen, Frank C. |
100 years of investment experience with common stocks
|
1979 |
Holmes, John Russell |
The adjustment of stock prices to new information
|
1979 |
Fama, Eugene F. |
Current growth stock valuation methods : General Motors ; an illustration
|
1979 |
Wendt, Paul F. |
The future of common stocks
|
1979 |
Graham, Benjamin |
The undervalued issue strategy
|
1979 |
Hayes, Douglas A. |
Interpreting the yield curve
|
1979 |
Worley, Richard B. |