Optimal Portfolio Modeling, CD-ROM Includes Models Using Excel and R
Philip McDonnell
Gebundenes Buch

Optimal Portfolio Modeling, CD-ROM Includes Models Using Excel and R

Models to Maximize Returns and Control Risk in Excel and R

Mitarbeit: Bollinger, John
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Praise for Optimal Portfolio Modeling"All too often, analysis ends with security selection. However, savvy investorsunderstand that security selection is where analysis starts. In this important contribution to the literature, Mr. McDonnell discusses position sizing, portfolio construction, utility, money management, and much more, all of which can make important contributions to your total return."-John Bollinger, CFA, CMT, www.BollingerBands.com"This book provides a cornucopia of practical techniques with readily accessible statistical backup for maximizing returns from systematic trading."-...