Description: Optimal Portfolio Modeling – Models to Maximize urns and Control Risk in Excel and R + WS PJ McDonnell (Author) 9780470117668 Hardback, published 11 March 2008 312 pages 25.4 x 17.8 x 1.7 cm, 0.583 kg Subject Areas: Finance & accounting [KF]
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BIC Subject Area 1: Finance & accounting [KF]
Number of Pages: 312 Pages
Language: English
Publication Name: Optimal Portfolio Modeling: Models to Maximize Returns and Control Risk in Excel and R CD-ROM includes Models Using Excel and R
Publisher: John Wiley & Sons INC International Concepts
Publication Year: 2008
Subject: Finance
Item Height: 249 mm
Item Weight: 590 g
Type: Textbook
Author: Philip Mcdonnell
Series: Wiley Trading
Item Width: 182 mm
Format: Hardcover