1. Optimal portfolio modeling: models to maximize return and control risk in Excel and R + CD-ROM
پدیدآورنده : Philip J. McDonnell
کتابخانه: Campus International Library of Kish University of Tehran (Hormozgan)
موضوع : Portfolio management,Risk management,Investments
2. Optimal portfolio modeling: models to maximize return and control risk in Excel and R + CD-ROM
پدیدآورنده : Philip J. McDonnell
کتابخانه: Library of Faculty of Entrepreneurship University of Tehran (Tehran)
موضوع : Portfolio management,Risk management,Investments,Microsoft Excel (Computer file)
رده :
HG
4529
.
5
.
M38
2008