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Optimal.Portfolio.Modeling.

上传者: 2021-05-01 07:57:48上传 PDF文件 18.2MB 热度 13次
Optimal Portfolio Modeling:Models to Maximize Returns and Control Risk in Excel and R Author:Philip McDonnell Publisher: Wiley Publishing date:February 8, 2008 Language: English Hardcover: 297 pages (原版高清) Specific issues explored throughout these pages include: 1.Modeling market microstructure ra
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码姐姐匿名网友 2025-03-16 14:48:01

不错很好,正在翻译