Markowitz, H. M., & Blay, K. (2014). Risk-return analysis: Volume 1 : the theory and practice of rational investing (1st edition.). McGraw-Hill Education.
Cita Chicago Style (17a ed.)Markowitz, Harry M., y Kenneth Blay. Risk-return Analysis: Volume 1 : The Theory and Practice of Rational Investing. 1st edition. New York: McGraw-Hill Education, 2014.
Cita MLA (9a ed.)Markowitz, Harry M., y Kenneth Blay. Risk-return Analysis: Volume 1 : The Theory and Practice of Rational Investing. 1st edition. McGraw-Hill Education, 2014.
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