McDonnell, Philip

Libros de: McDonnell, Philip

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  • Optimal Portfolio Modeling "Models To Maximize Returns And Control Risk In Excel And R"
    Models To Maximize Returns And Control Risk In Excel And R

    Mcdonnell, Philip

    Wiley & Sons Ltd. (2008)

    valoración

    • EAN: 9780470117668
    • Páginas: 352
    • Fecha de edición: 2008

    pvp.91,00 €

    Sin Stock. Posibilidad entre 11 y 20 dias

    Finally, a book that presents modeling formulas to maximize returns and manage risk for serious traders using empirical, statistical techniques. Specific topics covered include the importance of understanding investing as a statistical process. From there ...