Optimal Portfolio Modeling, CD-ROM includes Models Using Excel and R > Editions

by Philip McDonnell First published January 1st 2008

Optimal Portfolio Modeling, CD-ROM includes Models Using Excel and R: Models to Maximize Returns and Control Risk in Excel and R (Wiley Trading)
Published February 8th 2008 by Wiley
1, Hardcover, 312 pages
Author(s):
ISBN:
9780470117668 (ISBN10: 0470117664)
ASIN:
0470117664
Edition language:
English
Average rating:
4.00 (3 ratings)
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Optimal Portfolio Modeling: Models to Maximize Returns and Control Risk in Excel and R
Published March 8th 2010 by Wiley
Kindle Edition, 297 pages
Author(s):
ISBN:
9780470652244 (ISBN10: 0470652241)
ASIN:
0470652241
Average rating:
2.00 (1 rating)
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Optimal Portfolio Modeling
Published September 2nd 2008 by John Wiley & Sons
ebook, 297 pages
ISBN:
9781281217486 (ISBN10: 1281217484)
ASIN:
1281217484
Average rating:
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Optimal Portfolio Modeling, CD-ROM includes Models Using Excel and R: Models to Maximize Returns and Control Risk in Excel and R by Philip McDonnell (2008-02-08)
Published by Wiley; 1 edition (2008-02-08)
Hardcover, 0 pages
Author(s):
ASIN:
B01JXTRB1Y
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Optimal Portfolio Modeling: Models to Maximize Returns and Control Risk in Excel and R (Wiley Trading Book 306)
Published March 8th 2010 by Wiley
1, Kindle Edition, 313 pages
Author(s):
ASIN:
B001BNMIGY
Edition language:
English
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Optimal Portfolio Modeling: Models to Maximize Returns and Control Risk in Excel and R
Published May 2nd 2008 by Wiley
Kindle Edition, 352 pages
Author(s):
ISBN:
9780470260852 (ISBN10: 0470260858)
ASIN:
0470260858
Edition language:
English
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Optimal Portfolio Modeling: Models to Maximize Return and Control Risk in Excel and R
Published March 19th 2008 by John Wiley & Sons
Kindle Edition, 310 pages
ISBN:
9786611217488 (ISBN10: 6611217487)
ASIN:
6611217487
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