McDonnell, P. J. (2008). Optimal portfolio modeling: Models to maximize return and control risk in Excel and R + CD-ROM. Wiley.
Chicago Style (17th ed.) CitationMcDonnell, Philip J. Optimal Portfolio Modeling: Models to Maximize Return and Control Risk in Excel and R + CD-ROM. Hoboken, N.J.: Wiley, 2008.
MLA (9th ed.) CitationMcDonnell, Philip J. Optimal Portfolio Modeling: Models to Maximize Return and Control Risk in Excel and R + CD-ROM. Wiley, 2008.
Warning: These citations may not always be 100% accurate.