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Sharpe, William F.

Overview
Works: 121 works in 405 publications in 6 languages and 8,812 library holdings
Genres: Conference proceedings 
Roles: Editor
Classifications: HG4521, 332.6
Publication Timeline
Key
Publications about William F Sharpe
Publications by William F Sharpe
Most widely held works by William F Sharpe
Investments by William F Sharpe( Book )
94 editions published between 1978 and 2014 in English and Undetermined and held by 1,967 libraries worldwide
Portfolio theory and capital markets by William F Sharpe( Book )
30 editions published between 1970 and 2000 in 3 languages and held by 1,432 libraries worldwide
Investors and markets portfolio choices, asset prices, and investment advice by William F Sharpe( file )
21 editions published between 2006 and 2011 in English and held by 1,394 libraries worldwide
"In Investors and Markets, Nobel Prize-winning financial economist William Sharpe shows that investment professionals cannot make good portfolio choices unless they understand the determinants of asset prices. But until now asset-price analysis has largely been inaccessible to everyone except PhDs in financial economics. In this book, Sharpe changes that by setting out his state-of-the-art approach to asset pricing in a nonmathematical form that will be comprehensible to a broad range of investment professionals, including investment advisors, money managers, and financial analysts. Bridging the gap between the best financial theory and investment practice, Investors and Markets will help investment professionals make better portfolio choices by being smarter about asset prices."--BOOK JACKET
The economics of computers by William F Sharpe( Book )
18 editions published between 1969 and 1970 in English and Spanish and held by 683 libraries worldwide
The book attempts to provide and apply a set of concepts from economic theory that may prove valuable to those who are now or may become decisionmakers in the selection, financing, and/or use of computers. Only theory relevant for such decision-makers is presented here. It deals with microeconomic theory: the focus is on the small (industry, firm, computer) and not the large (gross national product, consumer price index, unemployment). The book is intended to appeal to three groups of readers: those who now manage or set policy for computer installations, students in programs leading to degrees in computer science (or information science), and economists interested in the computer industry
BASIC : an introduction to computer programming using the BASIC language by William F Sharpe( Book )
22 editions published between 1967 and 1979 in English and held by 636 libraries worldwide
Fundamentals of investments by Gordon J Alexander( Book )
29 editions published between 1989 and 2012 in English and Chinese and held by 548 libraries worldwide
Introduction to managerial economics by William F Sharpe( Book )
9 editions published between 1972 and 1975 in English and held by 429 libraries worldwide
Business finance: theory and management by Stephen Hunt Archer( Book )
8 editions published between 1966 and 1969 in English and held by 365 libraries worldwide
Financial economics : essays in honor of Paul Cootner ( Book )
7 editions published in 1982 in English and held by 319 libraries worldwide
Investing : the collected works of Martin L. Leibowitz by Martin L Leibowitz( Book )
2 editions published in 1992 in English and held by 161 libraries worldwide
Is financial analysis useless? : the proceedings of a seminar on the efficient capital market and random walk hypotheses by William F Sharpe( Book )
4 editions published in 1975 in English and held by 137 libraries worldwide
The founders of modern finance : their prize-winning concepts and 1990 Nobel lectures ( Book )
2 editions published between 1991 and 1992 in English and held by 73 libraries worldwide
Contains Nobel lectures and articles by Harry M. Markowitz, William F. Sharpe, and Merton H. Miller
Quantifying the market risk premium phenomenon for investment decision making : September 26-27, 1989, New York, New York ( Book )
2 editions published in 1990 in English and held by 67 libraries worldwide
Mean-variance analysis in portfolio choice and capital markets by H Markowitz( Book )
1 edition published in 2000 in English and held by 64 libraries worldwide
Mean-variance analysis in portfolio... / Markowitz, H.M
AAT : asset allocation tools by William F Sharpe( Book )
5 editions published between 1985 and 1987 in English and held by 32 libraries worldwide
Optimal Funding and Asset Allocation Rules for Defined-Benefit Pension Plans by J. Michael Harrison( file )
6 editions published between 1982 and 2000 in English and held by 27 libraries worldwide
This paper considers a world in which pension funds may default, the cost of the associated risk of default is not borne fully by the sponsoring corporation, and there are differential tax effects. The focus is on ways in which the wealth of the shareholders of a corporation sponsoring a pension plan might be increased if the Internal Revenue Service (IRS) and the Pension Benefit Guaranty Corporation (PBGC) follow simple and naive policies. Under the conditions examined, the optimal policy for pension plan funding and asset allocation is shown to be extremal in a certain sense. This suggests that the IRS and the PBGC may wish to use more complex regulatory procedures than those considered in the paper
The intelligent portfolio practical wisdom on personal investing from Financial Engines by Christopher L Jones( file )
2 editions published between 2008 and 2013 in English and held by 27 libraries worldwide
The Intelligent Portfolio draws upon the extensive insights of Financial Enginesa leading provider of investment advisory and management services founded by Nobel Prize-winning economist William F. Sharpeto reveal the time-tested institutional investing techniques that you can use to help improve your investment performance. Throughout these pages, Financial Engines' CIO, Christopher Jones, uses state-of-the-art simulation and optimization methods to demonstrate the often-surprising results of applying modern financial economics to personal investment decisions
Fundamentos de inversiones : teoría y práctica by Gordon J Alexander( Book )
3 editions published in 2003 in Spanish and held by 26 libraries worldwide
Mutual fund performance; measurement and prediction by William F Sharpe( Book )
3 editions published in 1965 in English and held by 26 libraries worldwide
Risk-aversion in the stock market : some empirical evidence by William F Sharpe( Book )
3 editions published in 1965 in English and held by 22 libraries worldwide
 
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Alternative Names
Forsyth Sharpe, William 1934-
Sharpe, W. F.
Sharpe, W. F. 1934-
Sharpe, W. F. (William F.)
Sharpe, W. F. (William F.), 1934-
Sharpe, William C.
Sharpe, William Forsyth 1934-
Шарп, Уильям Ф.
ウィリアム・F.シャープ
シャープ, ウィリアム・F
Languages
English (263)
Spanish (4)
Italian (2)
German (1)
Chinese (1)
Slovenian (1)
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