Optimal Portfolio Modeling (Models to Maximize Return and...

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Optimal Portfolio Modeling (Models to Maximize Return and Control Risk in Excel and R + CD-ROM) || Modeling Risk Management and Stop-loss Myths

McDonnell, Philip J.
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Volume:
10.1002/97
Year:
2012
Language:
english
DOI:
10.1002/9781119197515.ch4
File:
PDF, 113 KB
english, 2012
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