If you liked Risk and return in finance by James L. Bicksler, start with Institutional investing (1971), Methodology in finance-investments (1972), and Investment portfolio decision-making. These recommendations are drawn from the same author, shared genres, and reader overlap on BookOrb.

Back to Risk and return in finance · James L. Bicksler books in order

Recommended next reads

  1. 1 Institutional investing 1971 · 559 pages · Arnold W. Sametz, James L. Bicksler · Same author
  2. 2 Methodology in finance-investments 1972 · 243 pages · James L. Bicksler · Same author
  3. 3 Investment portfolio decision-making James L. Bicksler · Same author
  4. 4 Capital market equilibrium and efficiency 1977 · 629 pages · James L. Bicksler · Same author
  5. 5 Handbook of financial economics 1979 · 454 pages · James L. Bicksler · Same author

Frequently asked questions

What should I read after Risk and return in finance?

BookOrb recommends Institutional investing (1971), Methodology in finance-investments (1972), Investment portfolio decision-making, Capital market equilibrium and efficiency (1977), and Handbook of financial economics (1979).

Are there books like Risk and return in finance?

Yes. The list on this page is ranked from the closest matches BookOrb has for Risk and return in finance.

Who wrote Risk and return in finance?

Risk and return in finance is by James L. Bicksler.