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LDR00704namu 2200217 k 4500
001000000233914
00520101126112848
008101126s2008 njua 001 eng
020 ▼a 9780470117668 (cloth/CD-ROM)
040 ▼a 247004
041 ▼a eng
049 ▼l M0439070
056 ▼a 327.85
090 ▼a 327.85 ▼b M136o
1001 ▼a MacDonnell, Philip J.
24510 ▼a Optimal portfolio modeling : ▼b models to maximize return and control risk in Excel and R + CD-ROM / ▼d Philip J. McDonnell
260 ▼a Hoboken, N.J. : ▼b Wiley, ▼c 2008
300 ▼a xiv, 297 p. : ▼b ill. ; ▼c 26 cm. + ▼e CD-ROM 1sheet
4400 ▼a Wiley trading series
504 ▼a Includes bibliographical references and index
950 ▼b \95010