Portfolio Theory and Investment Management by Richard DobbinsPortfolio Theory and Investment Management by Richard Dobbins

Portfolio Theory and Investment Management

byRichard Dobbins, Stephen Witt, John Fielding

Paperback | January 6, 1994

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The second edition of this widely acclaimed introductory text has been fully revised to provide a concise summary of modern portfolio theory.
Richard Dobbins is Senior Research Supervisor, University of Bradford Management Centre. Stephen Witt is Professor of Tourism Studies, University College, Swansea. John Fielding is Lecturer in Finance and Accounting, Cranfield School of Management.
Title:Portfolio Theory and Investment ManagementFormat:PaperbackDimensions:192 pages, 9.02 × 6.14 × 0.55 inPublished:January 6, 1994Publisher:Wiley

The following ISBNs are associated with this title:

ISBN - 10:0631191828

ISBN - 13:9780631191827

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Table of Contents


1. The Revolution in Portfolio Theory: a Summary.

2. The Mean-variance Approach to Portfolio Management.

3. The Capital-asset Pricing Model.

4. The Efficient Market Hypothesis: The Early Evidence.

5. Implications of the Efficient Market Hypothesis.

6. The Efficient Market Hypothesis Revisited: Some Recent Developments.

7. Risk Measurement Services.

8. Option Pricing Theory.

Appendix: Study Questions.



Editorial Reviews

"A good course book in intermediate level financial management." Accountancy (Review of first edition)