Optimal Portfolio Modeling: Models to Maximize Returns and Control Risk in Excel and RЭлектронная книгаOptimal Portfolio Modeling: Models to Maximize Returns and Control Risk in Excel and RавтораPhilip McDonnellРейтинг: 2 из 5 звезд2/5Сохранить Optimal Portfolio Modeling: Models to Maximize Returns and Control Risk in Excel and R на потом