Financial risk modelling and portfolio optimization with R
Pfaff Bernhard
Financial risk modelling and portfolio optimization with R - Chichester Wiley 2013 - xvi;358p. cm.
6855.5704999999998
119217
88, 28/08/2013, Classic Book Service Textual
Financial Studies
X65:8:(B), Q3
Financial risk modelling and portfolio optimization with R - Chichester Wiley 2013 - xvi;358p. cm.
6855.5704999999998
119217
88, 28/08/2013, Classic Book Service Textual
Financial Studies
X65:8:(B), Q3
