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Mathematics of money management

Chia sẻ: Nguyen Bao Ngoc | Ngày: | Loại File: PDF | Số trang:109

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Mathematics of money management

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The favorable reception of Portfolio Management Formulas exceeded even the greatest expectation I ever had for the book. I had written it to promote the concept of optimal f and begin to immerse readers in portfolio theory and its missing relationship with optimal f. Besides finding friends out there, Portfolio Management Formulas was surprisingly met by quite an appetite for the math concerning money management. Hence this book. I am indebted to Karl Weber, Wendy Grau, and others at John Wiley & Sons who allowed me the necessary latitude this book required....

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