000
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cam a |
001
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2210080678353 |
005
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20100305155112 |
008
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070917s2008 njua 001 0 eng |
010
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▼a 2007038105 |
020
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▼a9780470117668 (cloth/CD-ROM) |
020
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▼a0470117664 (cloth/CD-ROM) |
035
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▼a(KERIS)REF000013592030 |
040
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▼aDLC▼cDLC▼dBAKER▼dBTCTA▼dYDXCP▼dC#P▼dBWX▼dDLC▼d221008 |
050
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▼aHG4529.5▼b.M385 2008 |
082
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▼a332.60285/554▼222 |
100
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|
▼aMcDonnell, Philip J.,▼d1949- |
245
|
00 |
▼aOptimal portfolio modeling :▼bmodels to maximize return and control risk in Excel and R + CD-ROM /▼cPhilip J. McDonnell. |
260
|
|
▼aHoboken, N.J. :▼bWiley,▼cc2008. |
300
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|
▼axiv, 297 p. :▼bill. ;▼c26 cm. +▼e1 CD-ROM (4 3/4 in.). |
440
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▼aWiley trading |
500
|
00 |
▼aIncludes bibliographical references and index. |
541
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|
▼cGift;▼a이계남 도서출판 한경사 대표;▼d2009.06.22▼e(W0181520) |
591
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▼a등록번호W0181520- 졸업동문 이계남(한경사 대표) 기증도서: 2009 6.22 |
630
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|
▼aMicrosoft Excel (Computer file) |
650
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▼aPortfolio management. |
650
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▼aRisk management. |
650
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▼aInvestments. |
950
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0 |
▼bUSD85.00▼c(includes CD) |