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Optimal Portfolio Modeling: Models to Maximize Returns and Control Risk in Excel and R – Philip McDonnellOptimal Portfolio Modeling: Models to Maximize Returns and Control Risk in Excel and R – Philip McDonnellUpdate 06 Nov 2022AdvancedDOWNLOAD
Optimal Portfolio Modeling by Philip McDonnell teaches you to harness the power of Excel and R to push your trading portfolio to the limits.
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