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- 2975974 author "Markowitz, H.M.".
- 2975974 date "March 1952".
- 2975974 doi "10.2307/2975974".
- 2975974 first "H.M.".
- 2975974 first1 "Harry M.".
- 2975974 isCitedBy Diversification_(finance).
- 2975974 isCitedBy Financial_risk.
- 2975974 isCitedBy Harry_Markowitz.
- 2975974 isCitedBy Modern_portfolio_theory.
- 2975974 isCitedBy Portfolio_optimization.
- 2975974 issue "1".
- 2975974 journal The_Journal_of_Finance.
- 2975974 journal "Journal of Finance".
- 2975974 journal "The Journal of Finance".
- 2975974 jstor "2975974".
- 2975974 last "Markowitz".
- 2975974 last1 "Markowitz".
- 2975974 pages "77–91".
- 2975974 title "Portfolio Selection".
- 2975974 volume "7".
- 2975974 year "1952".