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Optimal Portfolio Modeling: Models to Maximize Returns and Control Risk in Excel and R. CD-ROM includes Models Using Excel and R (Wiley Trading Series)

Author Philip McDonnell
Publisher John Wiley & Sons
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7393 7421 EUR
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Book Details
ISBN / ASIN0470117664
ISBN-139780470117668
AvailabilityGewöhnlich versandfertig in 24 Stunden
Sales Rank1,998,093
MarketplaceGermany 🇩🇪