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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
Online Resources:
Publisher description
Table of contents only
Contributor biographical information
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Book
AUM Main Library
332.60285554 M385 (
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Available
JBC/2012/6152
Includes index.
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