Fr. 106.00

Optimal Portfolio Modeling - Models to Maximize Returns and Control Risk in Excel and R. CD-ROM includes Models Using Excel and R

English · Hardback

Shipping usually within 3 to 5 weeks

Description

Product details

Authors Philip McDonnell
Assisted by John Bollinger (Foreword)
Publisher Wiley
 
Languages English
Product format Hardback
Released 11.03.2008
 
EAN 9780470117668
ISBN 978-0-470-11766-8
No. of pages 312
Dimensions 185 mm x 256 mm x 31 mm
Weight 723 g
Series Wiley Trading Series
Subjects Social sciences, law, business > Business > Business administration

Kapitalanlage, trading, Börsenhandel, Finance & Investments, Finanz- u. Anlagewesen

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