Optimal Portfolio Modeling Models to Maximize Returns and Control Risk in Excel and R + CD
by Philip McDonnell
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Publisher: | John Wiley & Sons |
Published In: | 11-Mar-2008 |
ISBN-10: | 0470117664 |
ISBN-13: | 9780470117668 |
Binding Type: | Hardback |
Weight: | 871 gms |
Pages: | pp. xiv + 297, Illus. |
The Title "Optimal Portfolio Modeling, CD-ROM includes Models Using Excel and R Models to Maximize Returns and Control Risk in Excel and R" is written by Philip McDonnell. This book was published in the year 2008. The ISBN number 0470117664|9780470117668 is assigned to the Hardback version of this title. This book has total of pp. 297 (Pages). The publisher of this title is John Wiley & Sons. We have about 122794 other great books from this publisher. Optimal Portfolio Modeling, CD-ROM includes Models Using Excel and R Models to Maximize Returns and Control Risk in Excel and R is currently Available with us.