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The Journal of Portfolio Management : ウィキペディア英語版 | The Journal of Portfolio Management
''The Journal of Portfolio Management'' is a quarterly academic journal covering asset allocation, performance measurement, market trends, risk management, and portfolio optimization. The journal was established in 1974 by Peter L. Bernstein. The current editor-in-chief is Frank J. Fabozzi (Yale University). == Notable authors == Notable authors who have published in ''The Journal of Portfolio Management'' include Fischer Black, Daniel Kahneman, Harry Markowitz, Merton Miller, Franco Modigliani, Paul Samuelson, William F. Sharpe, James Tobin, Cliff Asness, and Jack L. Treynor.
抄文引用元・出典: フリー百科事典『 ウィキペディア(Wikipedia)』 ■ウィキペディアで「The Journal of Portfolio Management」の詳細全文を読む
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