000 01141cam a2200397Ma 4500
999 _c46860
_d46860
003 BJBSDDR
005 20230410115729.0
007 ta
008 870622s1970 nyua bi 000 0 eng d
029 1 _aZWZ
_b009874755
035 _a(OCoLC)ocn299760897
035 _a(OCoLC)299760897
040 _aRUQBL
_bfre
_cBJBSDDR
041 _aspa
044 _anyu
050 1 4 _aHG 173
_bS532p 1970
082 1 _a332.6
_222
100 1 _aSharpe, William F.
245 1 0 _aPortfolio theory and capital markets .
260 _aNew York :
_bMcGraw-Hill,
_c1970.
300 _aXvi, 316 p. :
_billus. 24 cm.
440 0 _aMcgraw-hill series in finance
504 _abibliography: p. 303-312.
650 7 _aInvestissements
_xModáeles mathématiques.
_2ram
650 7 _aMarchâe financier
_xModáeles mathématiques.
_2ram
650 6 _aCapital.
650 6 _aFinances.
650 6 _aInvestissements.
650 6 _aRisque.
650 0 _aEconomía
_9761
650 4 _aColección René Villarreal (CRV)
_9760
653 _aCapital
_aFinance
_aInvestissement
_aRisque
655 6 _aBibliographie.
942 _2lcc
_cBK
946 _amfcruz