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ورود / ثبت نام
عنوان
Optimal Portfolio Modeling:Models to Maximize Return and Control Risk in Excel and R+CD ROM
پدید آورنده
موضوع
Portfolio management,Risk management,Investments
رده
کتابخانه
Insurance Research Institute Library
محل استقرار
استان:
Tehran
ـ شهر:
Tehran
تماس با کتابخانه :
021
-
22092265
NATIONAL BIBLIOGRAPHY NUMBER
Country Code
IR
Number
cd17
LANGUAGE OF THE ITEM
.Language of Text, Soundtrack etc
انگلیسی
COUNTRY OF PUBLICATION OR PRODUCTlON
Country of publication
IR
TITLE AND STATEMENT OF RESPONSIBILITY
Title Proper
Optimal Portfolio Modeling:Models to Maximize Return and Control Risk in Excel and R+CD ROM
General Material Designation
[CD]
.PUBLICATION, DISTRIBUTION, ETC
Place of Publication, Distribution, etc.
Hoboken,New Jersey
Name of Publisher, Distributor, etc.
: John Wiley & Sons
Date of Publication, Distribution, etc.
، 2008.
GENERAL NOTES
Text of Note
This cd is the attachment of a book
NOTES PERTAINING TO PUBLICATION, DISTRIBUTION, ETC.
Text of Note
Electronic - Compact Disk
TOPICAL NAME USED AS SUBJECT
Portfolio management
Risk management
Investments
ORIGINATING SOURCE
Country
ایران
LOCATION AND CALL NUMBER
Call Number
HG4529.5.M3O62008
old catalog
ec
VL
1
a
Y
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