著者名,書名,版表示,出版者名,出版年,シリーズ名,番号,ISBN,ISSN,URL "McDonnell, Philip J.",Optimal portfolio modeling : models to maximize return and control risk in Excel and R + CD-ROM,,John Wiley & Sons,2008,Wiley trading series,,9780470117668,,https://cir.nii.ac.jp/crid/1130282269724302592