Portfolio Theory and Capital Markets
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Portfolio Theory and Capital Markets

by William F. Sharpe

Finance Economics
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Written by William F. Sharpe, Portfolio Theory and Capital Markets explores core ideas in portfolio theory and capital markets. This focused finance title serves as a useful introduction or reference for readers seeking to understand investment principles and the broader structure of financial markets.

About This Book

Portfolio Theory and Capital Markets is a finance book by William F. Sharpe.

The book focuses on portfolio theory and the workings of capital markets.

It provides a concise resource for readers interested in investment principles, financial analysis, and the relationship between portfolios and markets.

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I will be using this book for: