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Optimal portfolio modeling : models to maximize return and control risk in Excel and R + CD-ROM /

by McDonnell, Philip J.,
Series: Wiley trading series Published by : Wiley, (Hoboken, N.J :) Physical details: xiv, 297 p. : ill. ; 26 cm. + ISBN: 0470117664 Subject(s): Microsoft Excel (Computer file) | Portfolio management. | Risk management | Investments. Year: 2008
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Item type Location Call Number Status Notes Date Due
Book Book AUM Main Library 332.60285554 M385 (Browse Shelf) Available JBC/2012/6152

Includes index.

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