000 01715cam a2200385 a 4500
005 20250930124608.0
008 080908s2008 njua i 001 0 eng
020 _a9780470117668 (cloth/CD-ROM)
_cRM248.70
020 _a0470117664 (cloth/CD-ROM)
039 9 _a201309091752
_blan
_c200901021125
_dlan
_c200812301511
_dlan
_c200812151200
_drahah
_y09-08-2008
_zrahah
040 _dUKM
090 _aHG4529.5.M394
090 _aHG4529.5
_b.M394
100 1 _aMcDonnell, Philip J.,
_d1949-
245 1 0 _aOptimal portfolio modeling :
_bmodels to maximize return and control risk in Excel and R + CD-ROM /
_cPhilip J. McDonnell.
260 _aHoboken, N.J. :
_bWiley,
_c2008.
300 _axiv, 297 p. :
_bill. ;
_c26 cm. +
_e1 CD-ROM (4 3/4 in.).
440 0 _aWiley trading.
500 _aBook is accompnied by one CD, CD-ROM entitled' Optimal portfolio modeling' bearing the same call number and available at Bahagian Koleksi Media.
504 _aIncludes index.
630 0 0 _aMicrosoft Excel (Computer file).
650 0 _aPortfolio management.
650 0 _aRisk management.
650 0 _aInvestments.
_960067
856 4 2 _3Publisher description
_uhttp://www.loc.gov/catdir/enhancements/fy0743/2007038105-d.html.
856 4 1 _3Table of contents only
_uhttp://www.loc.gov/catdir/enhancements/fy0743/2007038105-t.html.
856 4 2 _3Contributor biographical information
_uhttp://www.loc.gov/catdir/enhancements/fy0806/2007038105-b.html.
907 _a.b14270432
_b2020-10-15
_c2019-11-12
942 _c01
_n0
_kHG4529.5.M394
914 _avtls003385474
990 _arab
991 _aFakulti Ekonomi Perniagaan & Pengurusan
998 _at
_b2008-08-09
_cm
_da
_feng
_gnju
_y0
_z.b14270432
999 _c422116
_d422116