| 000 | 01143nam a2200349Ia 4500 | ||
|---|---|---|---|
| 003 | OSt | ||
| 005 | 20220912144728.0 | ||
| 006 | a|||||r|||| 00| 0 | ||
| 007 | ta | ||
| 008 | 220909b |||||||| |||| 00| 0 eng d | ||
| 020 | _a9780470978702 (hbk) | ||
| 020 | _aSL01559861 | ||
| 024 | _a188224 | ||
| 037 | _b1977, 07/03/2013, Ashutosh Technical Books | ||
| 037 | _cTextual | ||
| 040 |
_aCSL _beng _cCSL |
||
| 041 | _aeng | ||
| 082 | _aB2T0bX:8D,92R, Q3 | ||
| 100 | _aPfaff Bernhard | ||
| 245 | 0 | _aFinancial risk modelling and portfolio optimization with R | |
| 260 |
_aWest Sessex _bJohn- wiley _c2013 |
||
| 300 | _axvi,356p. | ||
| 490 | _aStatistics in practice | ||
| 500 | _aAppendix A-D 314-342p. ; Index 343-356p. Statistics in practice357-358p.; Include references in contents latex | ||
| 650 | _a Portfolio management | ||
| 650 | _a Robust portfolio optimization | ||
| 650 | _aOperational Research | ||
| 700 | _a Sherif Mahmoud | ||
| 700 | _aPfaff Bernhard | ||
| 942 |
_hB2T0bX:8D,92R, Q3 _cTEXL _2CC |
||
| 999 |
_c16809 _d16809 |
||