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عنوان
Optimal portfolio modeling: models to maximize return and control risk in Excel and R + CD-ROM
پدید آورنده
Philip J. McDonnell
موضوع
Portfolio management,Risk management,Investments
رده
کتابخانه
Campus International Library of Kish University of Tehran
محل استقرار
استان:
Hormozgan
ـ شهر:
Kish
تماس با کتابخانه :
44430055
-
076
INTERNATIONAL STANDARD BOOK NUMBER
(Number (ISBN
978-0-470-11766-8
LANGUAGE OF THE ITEM
.Language of Text, Soundtrack etc
لاتين
.Language of Text, Soundtrack etc
انگليسي
TITLE AND STATEMENT OF RESPONSIBILITY
First Statement of Responsibility
Philip J. McDonnell
Subsequent Statement of Responsibility
author
Title Proper by Another Author
1949-
Title Proper
Optimal portfolio modeling: models to maximize return and control risk in Excel and R + CD-ROM
.PUBLICATION, DISTRIBUTION, ETC
Place of Publication, Distribution, etc.
Hoboken, N.J
Name of Publisher, Distributor, etc.
Wiley
Date of Publication, Distribution, etc.
c2008
PHYSICAL DESCRIPTION
Specific Material Designation and Extent of Item
xiv, 297 p.: ill.; 26 cm. + CD-ROM
SERIES
Series Title
Wiley trading
NOTES PERTAINING TO BINDING AND AVAILABILITY
Text of Note
مرجع به حساب نمي آيد
TOPICAL NAME USED AS SUBJECT
Entry Element
Portfolio management
Entry Element
Risk management
Entry Element
Investments
LIBRARY OF CONGRESS CLASSIFICATION
Class number
HG
4529
.
5
.
M3
2008
PERSONAL NAME - PRIMARY RESPONSIBILITY
Entry Element
مولف
Relator Code
McDonnell, Philip J
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